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

                                    Form 13F

                               Form 13F COVER PAGE

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

Check here if Amendment [ ]; Amendment Number:
                                               ------------

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

Institutional Investment Manager Filing this Report:

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

Form 13F File Number: 28-1235

The institutional investment manager filing this report and the person by whom
it is signed hereby represent that the person signing the report is authorized
to submit it, that all information contained herein is true, correct and
complete, and that it is understood that all required items, statements,
schedules, lists, and tables, are considered integral parts of this form.

Person Signing the Report on behalf of Reporting Manager:

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


/s/ Joan L. Gulley      Pittsburgh, PA   February 4, 2005
---------------------   --------------   ----------------
[Signature]             [City, State]    [Date]

Report Type (Check only one.):

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

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

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

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



Page 2

                              Form 13F SUMMARY PAGE

Report Summary:

Number of Other Included Managers: 4

Form 13F Information Table Entry Total: 2,673

Form 13F Information Table Value Total: $25,104,386
                                        (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 183                                                     AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- -------- --------- -------
                                                                                         
DAIMLERCHRYSLER AG        ORD            D1668R123     213,967     4,453       X         28-5284     3811               642
                                                       310,259     6,457       X      X  28-5284     4481      1356     620
                                                        72,075     1,500       X         28-4580     1500
                                                        74,478     1,550       X      X  28-4580     1550
DEUTSCHE BANK AG NAMEN    ORD            D18190898       2,314        26       X         28-5284       26
ACE LTD                   ORD            G0070K103     723,501    16,924       X         28-5284    16924
                                                       369,146     8,635       X      X  28-5284     5220      3115     300
                                                       294,975     6,900       X      X  28-1500     6900
                                                         6,413       150       X         28-4580      150
ASSURED GUARANTY LTD      COM            G0585R106      19,670     1,000       X         28-5284     1000
ACCENTURE LTD BERMUDA     CL A           G1150G111      13,203       489       X         28-5284      489
                                                        62,100     2,300       X      X  28-5284               2300
BUNGE LIMITED             COM            G16962105     758,233    13,300       X      X  28-5284    13000               300
CHINADOTCOM CORP          CL A           G2108N109         922       200       X         28-5284      200
CHINA YUCHAI INTL LTD     COM            G21082105       2,656       200       X      X  28-1500      200
COOPER INDS LTD           CL A           G24182100     208,762     3,075       X         28-5284     3075
                                                       187,105     2,756       X      X  28-5284     2200       556
                                                        67,890     1,000       X      X  28-4580     1000
ASA BERMUDA LIMITED       COM            G3156P103      21,196       524       X         28-5284      524
                                                     2,022,500    50,000       X      X  28-5284    50000
EVEREST RE GROUP LTD      COM            G3223R108      13,434       150       X         28-5284      150
                                                        89,560     1,000       X      X  28-5284     1000
FRESH DEL MONTE PRODUCE
   INC                    ORD            G36738105       6,810       230       X      X  28-5284       30       200
FRONTLINE LTD             ORD            G3682E127      13,308       300       X         28-5284      300
GLOBALSANTAFE CORP        SHS            G3930E101   1,498,459    45,257       X         28-5284    39730       180    5347
                                                       214,023     6,464       X      X  28-5284     3714       860    1890
                                                        41,222     1,245       X         28-4580     1245
                                                         4,304       130       X      X  28-4580      130
GLOBAL SOURCES LTD        ORD            G39300101      41,382     3,300       X         28-5284     3300
0            COLUMN TOTAL                            7,353,867
0
0
0




1                                                               FILE NO. 28-1235
PAGE 2 OF 183                                                     AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- -------- --------- -------
                                                                                        
HELEN OF TROY CORP LTD    COM            G4388N106       6,722       200       X         28-5284      200
                                                        48,735     1,450       X      X  28-5284      950       500
INGERSOLL-RAND COMPANY
   LTD                    CL A           G4776G101  68,481,687   852,823       X         28-5284   810358     14267   28198
                                                    23,850,786   297,021       X      X  28-5284   196125     78816   22080
                                                     1,534,212    19,106       X         28-4580    18913               193
                                                       670,264     8,347       X      X  28-4580     7101       610     636
IPC HLDGS LTD             ORD            G4933P101      87,020     2,000       X         28-5284     2000
KNIGHTSBRIDGE TANKERS LTD ORD            G5299G106      50,145     1,500       X         28-5284     1500
                                                        30,087       900       X      X  28-5284      800       100
MONTPELIER RE HOLDINGS
   LTD                    SHS            G62185106       7,690       200       X      X  28-5284                200
NABORS INDUSTRIES LTD     SHS            G6359F103     359,697     7,013       X         28-5284     7013
                                                       271,837     5,300       X      X  28-5284     5300
                                                         5,693       111       X         28-4580      111
NOBLE CORPORATION         SHS            G65422100     123,703     2,487       X         28-5284     2487
                                                        37,802       760       X      X  28-5284      760
                                                         8,705       175       X      X  28-1500      175
                                                         4,775        96       X         28-4580       96
NORDIC AMERICAN TANKER
   SHIPP                  COM            G65773106      27,335       700       X      X  28-5284      700
PXRE GROUP LTD            COM            G73018106     309,755    12,287       X      X  28-5284    12287
RENAISSANCERE HOLDINGS
   LTD                    COM            G7496G103       2,604        50       X      X  28-5284       50
SEAGATE TECHNOLOGY        SHS            G7945J104      34,540     2,000       X      X  28-5284     2000
SHIP FINANCE
   INTERNATIONAL L        SHS            G81075106       2,975       145       X         28-5284      145
                                                         2,729       133       X      X  28-1500      133
STEWART W P & CO LTD      COM            G84922106     283,873    11,998       X         28-5284     2998              9000
HILFIGER TOMMY CORP       ORD            G8915Z102       1,782       158       X         28-5284      158
TRANSOCEAN INC            ORD            G90078109   1,111,000    26,209       X         28-5284     7309             18900
                                                       644,413    15,202       X      X  28-5284    13127      1031    1044
GOLAR LNG LTD BERMUDA     SHS            G9456A100     134,010     9,000       X      X  28-5284     9000
0            COLUMN TOTAL                           98,134,576
0
0
0




1                                                               FILE NO. 28-1235
PAGE 3 OF 183                                                     AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- -------- --------- -------
                                                                                         
WEATHERFORD INTERNATIONAL
   LT                     COM            G95089101      50,018       975       X         28-5284      975
                                                       135,535     2,642       X      X  28-5284     2000       642
WHITE MTNS INS GROUP LTD  COM            G9618E107     836,570     1,295       X      X  28-1500     1295
WILLIS GROUP HOLDINGS LTD SHS            G96655108      81,105     1,970       X         28-5284     1970
XOMA LTD                  ORD            G9825R107      16,835     6,500       X         28-5284     2500              4000
                                                           259       100       X      X  28-1500      100
XL CAP LTD                CL A           G98255105     211,596     2,725       X         28-5284     2325               400
                                                       935,683    12,050       X      X  28-5284     4250      2200    5600
ALCON INC                 COM SHS        H01301102      30,225       375       X         28-5284      375
                                                       338,520     4,200       X      X  28-5284      100      4100
UBS AG                    NAMEN AKT      H8920M855     427,500     5,099       X         28-5284     5099
CHECK POINT SOFTWARE TECH
   LT                     ORD            M22465104   1,907,815    77,459       X         28-5284    69999      6600     860
                                                       827,814    33,610       X      X  28-5284    15419     16661    1530
                                                        13,202       536       X         28-4580      536
                                                        64,826     2,632       X      X  28-4580     2632
CLICKSOFTWARE
   TECHNOLOGIES L         ORD            M25082104       1,430       500       X         28-5284      500
COMPUGEN LTD              ORD            M25722105      51,500    10,000       X      X  28-5284    10000
LANOPTICS LTD             ORD            M6706C103      13,900     1,000       X      X  28-5284     1000
M SYSTEMS FLASH DISK
   PIONEERS LTD           ORD            M7061C100      98,600     5,000       X                     5000
TARO PHARMACEUTICAL INDS
   LTD                    ORD            M8737E108       1,804        53       X         28-5284       53
ASML HLDG NV              N Y SHS        N07059111       3,184       200       X         28-5284      200
CNH GLOBAL N V            SHS NEW        N20935206       7,748       400       X         28-5284      400
ORTHOFIX INTL N V         COM            N6748L102         782        20       X         28-5284       20
KERZNER INTERNATIONAL LTD SHS            P6065Y107      18,015       300       X         28-5284      300
ROYAL CARIBBEAN CRUISES
   LTD                    COM            V7780T103      54,440     1,000       X         28-5284                       1000
                                                        27,220       500       X      X  28-5284      400       100
0            COLUMN TOTAL                            6,156,126
0
0
0




1                                                               FILE NO. 28-1235
PAGE 4 OF 183                                                     AS OF 12/31/04

     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  18,485,908 1,337,620       X         28-5284  1280263     19130   38227
                                                     6,953,146   503,122       X      X  28-5284   321272    161732   20118
                                                       426,900    30,890       X         28-1500    17000     13890
                                                       354,621    25,660       X         28-4580    25293               367
                                                       114,609     8,293       X      X  28-4580     4615      3490     188
GENERAL MARITIME CORP     SHS            Y2692M103     900,873    22,550       X      X  28-5284    22550
                                                        15,980       400       X      X  28-4580      400
OMI CORP NEW              COM            Y6476W104      43,810     2,600       X         28-5284     2600
                                                       269,600    16,000       X      X  28-5284    16000
                                                         8,425       500       X      X  28-1500      500
TEEKAY SHIPPING MARSHALL
   ISL                    COM            Y8564W103      54,743     1,300       X      X  28-5284     1300
AAR CORP                  COM            000361105       2,860       210       X      X  28-5284      210
ABB LTD                   SPONSORED ADR  000375204       3,396       600       X         28-5284      600
ABC BANCORP               COM            000400101     188,190     9,000       X         28-1500     9000
ABN AMRO BK N V LONDON
   BRH                    DEBT 10.000% 1 00079FCQ3     895,000    10,000       X         28-5284    10000
A C MOORE ARTS & CRAFTS
   INC                    COM            00086T103      17,286       600       X      X  28-5284                600
A D C TELECOMMUNICATIONS  COM            000886101      20,636     7,700       X         28-5284     7100               600
                                                        12,328     4,600       X      X  28-5284                       4600
ADE CORP MASS             COM            00089C107      18,720     1,000       X      X  28-5284                       1000
ACM INCOME FUND INC       COM            000912105     546,288    66,947       X         28-5284    66947
                                                       278,835    34,171       X      X  28-5284    30971      1200    2000
                                                        87,434    10,715       X      X  28-1500    10715
ACM MANAGED INCOME FD INC COM            000919100       1,995       509       X      X  28-5284      509
ABN AMRO HLDG NV          SPONSORED ADR  000937102      27,770     1,044       X      X  28-1500     1044
ACM MUN SECS INCOME FD
   INC                    COM            000942102      22,680     2,100       X      X  28-5284     2100
ABM INDS INC              COM            000957100       8,282       420       X         28-5284      420
0            COLUMN TOTAL                           29,760,315
0
0
0




1                                                               FILE NO. 28-1235
PAGE 5 OF 183                                                     AS OF 12/31/04

     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   1,750,331    43,934       X         28-5284    41784              2150
                                                     1,410,535    35,405       X      X  28-5284     9705     25700
                                                        56,892     1,428       X         28-1500      328      1100
AGCO CORP                 COM            001084102     218,900    10,000       X      X  28-5284    10000
AGL RES INC               COM            001204106       9,972       300       X         28-5284                        300
                                                         9,141       275       X      X  28-5284      275
                                                        39,888     1,200       X      X  28-4580     1200
AES CORP                  COM            00130H105     308,081    22,537       X         28-5284    21689               848
                                                        78,835     5,767       X      X  28-5284     5597       170
AK STL HLDG CORP          COM            001547108      94,055     6,500       X         28-5284     6500
                                                       283,207    19,572       X      X  28-5284                      19572
                                                         3,603       249       X      X  28-1500      249
AMB PROPERTY CORP         COM            00163T109      12,884       319       X      X  28-4580       37               282
AMLI RESIDENTIAL PPTYS TR SH BEN INT     001735109      19,200       600       X         28-5284      600
AMR CORP                  COM            001765106       5,475       500       X         28-5284      500
                                                        21,900     2,000       X      X  28-5284                       2000
AT&T CORP                 COM NEW        001957505   1,309,517    68,705       X         28-5284    62836      2283    3586
                                                     1,293,240    67,851       X      X  28-5284    46697     18454    2700
                                                       144,094     7,560       X      X  28-1500     7560
                                                        34,537     1,812       X         28-4580     1812
                                                        50,395     2,644       X      X  28-4580     2644
A S DAMPSKIBSSELSKABET
   TORM                   SPONSORED ADR  00208W109     123,420     3,000       X      X  28-5284     3000
AU OPTRONICS CORP         SPONSORED ADR  002255107     106,684     7,450       X         28-5284     7450
                                                       765,046    53,425       X                    53425
AARON RENTS INC           COM            002535201      11,250       450       X         28-5284      450
                                                       337,500    13,500       X      X  28-5284    13500
ABBOTT LABS               COM            002824100 116,044,814 2,487,563       X         28-5284  2255830     33023  198710
                                                   120,661,951 2,586,537       X      X  28-5284  1978165    509164   99208
                                                       584,618    12,532       X         28-1500      125     12407
                                                     2,109,280    45,215       X         28-4580    45065               150
                                                     3,195,198    68,493       X      X  28-4580    63391      5102
0            COLUMN TOTAL                          251,094,443
0
0
0




1                                                               FILE NO. 28-1235
PAGE 6 OF 183                                                     AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- -------- --------- -------
                                                                                         
ABER DIAMOND CORP         COM            002893105      3,535       100        X         28-5284                        100
ABERCROMBIE & FITCH CO    CL A           002896207     11,644       248        X         28-5284      248
                                                        9,390       200        X      X  28-5284      200
ABBEY NATL PLC            GDR            002920809     13,525       500        X      X  28-5284      500
ABERDEEN ASIA PACIFIC
   INCOM                  COM            003009107     48,600     7,500        X         28-5284     6500              1000
                                                        3,240       500        X      X  28-5284      500
                                                       31,104     4,800        X         28-4580     4800
ABERDEEN GLOBAL INCOME FD
   IN                     COM            003013109     14,820     1,000        X         28-5284                       1000
ABIOMED INC               COM            003654100    111,168     7,200        X      X  28-5284      200      7000
ACCELRYS INC              COM            00430U103      3,900       500        X         28-5284      500
ACCREDITED HOME LENDRS
   HLDG                   COM            00437P107      2,981        60        X         28-5284       60
                                                        4,968       100        X      X  28-5284      100
ACCREDO HEALTH INC        COM            00437V104     16,216       585        X         28-5284       85       500
ACTIVE POWER INC          COM            00504W100     23,659     5,088        X      X  28-5284     5088
ACUITY BRANDS INC         COM            00508Y102     10,494       330        X      X  28-5284      330
ADAMS EXPRESS CO          COM            006212104     36,670     2,795        X         28-5284     2795
                                                       25,794     1,966        X      X  28-5284     1966
                                                       41,617     3,172        X      X  28-1500     3172
ADAPTEC INC               COM            00651F108    184,642    24,327        X         28-1500    24327
ADECCO SA                 SPONSORED ADR  006754105      5,187       410        X         28-5284      410
                                                        1,265       100        X      X  28-5284      100
ADESA INC                 COM            00686U104     13,793       650        X         28-5284      650
                                                      315,244    14,856        X      X  28-5284     2866     11990
                                                        7,003       330        X         28-4580      330
ADMINISTAFF INC           COM            007094105      1,702       135        X         28-5284      135
ADOBE SYS INC             COM            00724F101    662,785    10,564        X         28-5284    10564
                                                    1,225,312    19,530        X      X  28-5284    18930       200     400
0            COLUMN TOTAL                           2,830,258
0
0
0




1                                                               FILE NO. 28-1235
PAGE 7 OF 183                                                     AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- -------- --------- -------
                                                                                        
ADTRAN INC                COM            00738A106         536        28       X         28-1500       28
ADVANCED MAGNETICS INC    COM            00753P103     157,200    10,000       X         28-5284    10000
ADVANCED MARKETING SVCS
   INC                    COM            00753T105       1,006       100       X      X  28-5284      100
ADVANCED NEUROMODULATION
   SYS                    COM            00757T101      29,595       750       X         28-5284                        750
                                                        19,730       500       X      X  28-5284                500
ADVANCED MEDICAL OPTICS
   INC                    COM            00763M108     143,414     3,486       X         28-5284     3475        11
                                                       264,942     6,440       X      X  28-5284     2897      3543
                                                        10,943       266       X         28-1500      266
                                                         4,567       111       X      X  28-1500      111
                                                         8,351       203       X      X  28-4580      203
AEROPOSTALE               COM            007865108     825,512    28,050       X      X  28-5284    28050
ADVANCED MICRO DEVICES
   INC                    COM            007903107      99,090     4,500       X         28-5284     4500
                                                        73,657     3,345       X                     3345
                                                       460,218    20,900       X      X  28-5284     2950     17750     200
AEGON N V                 ORD AMER REG   007924103   4,649,527   339,134       X         28-5284   297837             41297
                                                     3,009,098   219,482       X      X  28-5284   206243      2404   10835
                                                        14,574     1,063       X         28-1500      161       902
                                                         2,139       156       X      X  28-4580                156
ADVANTA CORP              CL A           007942105       7,148       316       X         28-5284      316
ADVANTA CORP              CL B           007942204   8,238,136   339,437       X         28-5284   339437
ADVENT SOFTWARE INC       COM            007974108         819        40       X         28-5284       40
AES TR III                PFD CV 6.75%   00808N202      74,025     1,500       X         28-5284     1500
                                                        39,480       800       X      X  28-5284                800
AETNA INC NEW             COM            00817Y108     514,843     4,127       X         28-5284     1827              2300
                                                     1,735,522    13,912       X      X  28-5284    13712       200
                                                        12,475       100       X         28-1500      100
                                                        85,953       689       X      X  28-1500      689
AFFILIATED COMPUTER
   SERVICES               CL A           008190100     133,622     2,220       X         28-5284     2220
                                                        53,569       890       X      X  28-5284      890
AFFYMETRIX INC            COM            00826T108       7,310       200       X         28-5284      200
0            COLUMN TOTAL                           20,677,001
0
0
0




1                                                               FILE NO. 28-1235
PAGE 8 OF 183                                                     AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- -------- --------- -------
                                                                                        
AFFORDABLE RESIDENTIAL
   CMTYS                  COM            008273104       7,175       500       X      X  28-5284                500
AGERE SYS INC             CL A           00845V100       1,044       762       X         28-5284      734                28
                                                           825       602       X      X  28-5284      451       147       4
                                                            79        58       X         28-4580       58
                                                            33        24       X      X  28-4580       24
AGERE SYS INC             CL B           00845V209      10,853     8,039       X         28-5284     7163               876
                                                        52,159    38,636       X      X  28-5284    33995      3905     736
                                                           323       239       X      X  28-1500      239
                                                         1,114       825       X         28-4580      825
                                                           857       635       X      X  28-4580      635
AGILENT TECHNOLOGIES INC  COM            00846U101   1,413,923    58,669       X         28-5284    54505       552    3612
                                                     2,639,673   109,530       X      X  28-5284    63188     40370    5972
                                                        15,448       641       X         28-4580      641
                                                        87,001     3,610       X      X  28-4580     3250       360
AGNICO EAGLE MINES LTD    COM            008474108      13,750     1,000       X         28-5284      500       500
AIM SELECT REAL ESTATE
   INCM                   SHS            00888R107      70,000     4,000       X         28-5284     4000
AIR FRANCE KLM            SPONSORED ADR  009119108      16,224       845       X      X  28-5284      845
AIR FRANCE KLM            *W EXP 11/05/2 009119116         877       769       X      X  28-5284      769
AIR PRODS & CHEMS INC     COM            009158106  16,716,345   288,362       X         28-5284   279627      1150    7585
                                                    13,371,708   230,666       X      X  28-5284   121270     99762    9634
                                                       278,256     4,800       X         28-1500     4800
                                                       220,286     3,800       X         28-4580     3800
                                                       224,344     3,870       X      X  28-4580     3870
AIRGAS INC                COM            009363102     318,120    12,000       X         28-5284                      12000
AIRTRAN HLDGS INC         COM            00949P108       6,313       590       X      X  28-4580                        590
AKAMAI TECHNOLOGIES INC   COM            00971T101      14,594     1,120       X         28-5284     1120
ALABAMA NATL BANCORP DELA COM            010317105      32,370       500       X         28-5284                        500
ALASKA AIR GROUP INC      COM            011659109       3,349       100       X         28-5284                        100
ALBEMARLE CORP            COM            012653101     121,433     3,137       X         28-5284     2521               616
0            COLUMN TOTAL                           35,638,476
0
0
0




1                                                               FILE NO. 28-1235
PAGE 9 OF 183                                                     AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- -------- --------- -------
                                                                                       
ALBERTO CULVER CO         COM            013068101      84,123     1,732       X         28-5284      270      1462
                                                        32,056       660       X      X  28-5284      600                60
ALBERTSONS INC            COM            013104104     718,430    30,085       X         28-5284    29685               400
                                                       870,522    36,454       X      X  28-5284    27526      6528    2400
                                                        71,640     3,000       X      X  28-1500     3000
ALCAN INC                 COM            013716105     363,337     7,409       X         28-5284      409              7000
                                                       206,507     4,211       X      X  28-5284      771      3440
ALCOA INC                 COM            013817101  30,106,958   958,210       X         28-5284   914994      6520   36696
                                                    17,423,018   554,520       X      X  28-5284   362408    152147   39965
                                                         6,441       205       X      X  28-1500      205
                                                       556,385    17,708       X         28-4580    16945               763
                                                       311,121     9,902       X      X  28-4580     9077       825
ALCATEL                   SPONSORED ADR  013904305       4,689       300       X         28-5284      300
                                                         4,142       265       X      X  28-5284      265
ALERIS INTL INC           COM            014477103     126,392     7,470       X         28-5284     7470
ALEXANDER & BALDWIN INC   COM            014482103     182,406     4,300       X         28-5284     4000               300
                                                       381,780     9,000       X      X  28-5284     9000
ALEXION PHARMACEUTICALS
   INC                    COM            015351109       5,040       200       X      X  28-5284      200
ALIGN TECHNOLOGY INC      COM            016255101     296,872    27,616       X         28-5284    27616
ALKERMES INC              COM            01642T108         564        40       X         28-5284       40
ALLEGHANY CORP DEL        COM            017175100  42,537,051   149,122       X      X  28-5284      598            148524
ALLEGHENY ENERGY INC      COM            017361106     170,452     8,648       X         28-5284     8523               125
                                                       154,152     7,821       X      X  28-5284     4840      2356     625
                                                         1,971       100       X      X  28-4580      100
ALLEN ORGAN CO            CL B           017753104     154,675     2,300       X      X  28-5284               2300
0            COLUMN TOTAL                           94,770,724
0
0
0




1                                                               FILE NO. 28-1235
PAGE 10 OF 183                                                    AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- -------- --------- -------
                                                                                       
ALLERGAN INC              COM            018490102  57,930,514   714,574       X         28-5284   596252      2160  116162
                                                    21,241,799   262,018       X      X  28-5284   222063     37132    2823
                                                     2,917,304    35,985       X         28-1500    35985
                                                       182,894     2,256       X      X  28-1500     2256
                                                       666,720     8,224       X         28-4580     7602               622
                                                       411,025     5,070       X      X  28-4580     4970       100
ALLETE INC                COM NEW        018522300       3,050        83       X         28-5284       83
                                                       181,913     4,950       X      X  28-5284      954      3996
ALLIANCE CAP MGMT HLDG
   L P                    UNIT LTD PARTN 01855A101     546,000    13,000       X         28-5284    13000
                                                       247,800     5,900       X      X  28-5284     5200       700
ALLIANCE RES PARTNER L P  UT LTD PART    01877R108     214,600     2,900       X         28-5284     2900
ALLIANCE WORLD DLR GV
   FD II                  COM            01879R106      69,328     5,600       X         28-5284     5600
                                                        11,105       897       X      X  28-5284      897
ALLIANCE WORLD DLR GV FD
   INC                    COM            018796102      51,750     4,078       X      X  28-5284     4078
ALLIANT ENERGY CORP       COM            018802108      61,347     2,145       X         28-5284     2145
                                                        39,811     1,392       X      X  28-5284      222      1170
ALLIANT TECHSYSTEMS INC   COM            018804104      17,522       268       X         28-5284      268
                                                        73,095     1,118       X      X  28-5284     1118
ALLIED CAP CORP NEW       COM            01903Q108     135,402     5,240       X         28-5284     4840       400
                                                       422,820    16,363       X      X  28-5284    12313      3550     500
ALLIED DOMECQ PLC         SPON ADR NEW   019121201       3,991       100       X      X  28-5284      100
ALLIED IRISH BKS P L C    SPON ADR ORD   019228402   2,972,119    71,999       X         28-5284    47165      6084   18750
                                                       251,808     6,100       X      X  28-5284     1000      4500     600
                                                       151,910     3,680       X         28-4580     3680
ALLIED WASTE INDS INC     COM PAR$.01NEW 019589308       1,438       155       X         28-5284      155
ALLMERICA FINL CORP       COM            019754100     298,425     9,090       X         28-5284     6399      1091    1600
                                                        24,491       746       X      X  28-5284      746
ALLSCRIPTS HEALTHCARE
   SOLUTI                 COM            01988P108     106,700    10,000       X      X  28-5284    10000
0            COLUMN TOTAL                           89,236,681
0
0
0




1                                                               FILE NO. 28-1235
PAGE 11 OF 183                                                    AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- -------- --------- -------
                                                                                       
ALLSTATE CORP             COM            020002101  23,800,820   460,186       X         28-5284   419267     10266   30653
                                                    35,698,230   690,221       X      X  28-5284   393322    224594   72305
                                                         4,396        85       X         28-1500       85
                                                        66,719     1,290       X      X  28-1500     1290
                                                       474,221     9,169       X         28-4580     9169
                                                       406,519     7,860       X      X  28-4580     7490       370
ALLTEL CORP               COM            020039103  42,318,012   720,184       X         28-5284   680853     12635   26696
                                                    24,335,395   414,149       X      X  28-5284   235188    138870   40091
                                                        58,760     1,000       X      X  28-1500     1000
                                                       575,554     9,795       X         28-4580     9421               374
                                                       297,619     5,065       X      X  28-4580     4885       180
ALLTEL CORP               PFD C CV $2.06 020039509      17,450        50       X      X  28-5284       50
ALLTEL CORP               CORP UNT 7.75% 020039822      15,867       300       X         28-5284      300
                                                        37,023       700       X      X  28-5284                700
ALMOST FAMILY INC         COM            020409108       5,141       349       X         28-1500      349
ALPHARMA INC              CL A           020813101       3,390       200       X         28-5284      200
ALTEON INC                COM            02144G107      18,340    14,000       X      X  28-1500    14000
ALTERA CORP               COM            021441100      21,321     1,030       X         28-5284     1030
ALTRIA GROUP INC          COM            02209S103  69,285,017 1,133,961       X         28-5284  1058342     32320   43299
                                                   272,693,760 4,463,073       X      X  28-5284  3735791    387682  339600
                                                       326,396     5,342       X         28-1500      176      5166
                                                     4,984,782    81,584       X         28-4580    66384             15200
                                                     1,742,511    28,519       X      X  28-4580    27619       900
ALUMINUM CORP CHINA LTD   SPON ADR H SHS 022276109     292,750     5,000       X      X  28-5284     5000
AMAZON COM INC            COM            023135106     429,879     9,706       X         28-5284     9706
                                                       283,456     6,400       X      X  28-5284     6000               400
AMBAC FINL GROUP INC      COM            023139108     237,356     2,890       X         28-5284     2890
                                                        53,385       650       X      X  28-5284      650
AMERADA HESS CORP         COM            023551104     958,903    11,640       X         28-5284    11640
                                                       408,111     4,954       X      X  28-5284     4954
                                                         3,707        45       X         28-4580       45
0            COLUMN TOTAL                          479,854,790
0
0
0




1                                                               FILE NO. 28-1235
PAGE 12 OF 183                                                    AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- -------- --------- -------
                                                                                        
AMERCO                    COM            023586100     160,930     3,500       X      X  28-5284     3500
AMEREN CORP               COM            023608102     605,691    12,080       X         28-5284     9405       125    2550
                                                       454,469     9,064       X      X  28-5284     6634      2430
                                                       223,875     4,465       X      X  28-1500     4465
                                                        20,858       416       X      X  28-4580      416
AMERICA FIRST APT INV INC COM            02363X104       5,424       452       X         28-5284      452
AMERICA MOVIL S A DE C V  SPON ADR L SHS 02364W105     256,096     4,892       X         28-5284     4892
                                                        20,940       400       X      X  28-5284      400
AMERICA MOVIL S A DE C V  SPON ADR A SHS 02364W204      54,538     1,048       X         28-5284     1048
AMERICA WEST HLDG CORP    CL B           023657208       6,580     1,000       X      X  28-5284     1000
AMERICAN AXLE & MFG HLDGS
   IN                     COM            024061103       6,132       200       X         28-5284      200
AMERICAN CAPITAL
   STRATEGIES             COM            024937104     535,268    16,050       X         28-5284    16050
                                                       108,388     3,250       X      X  28-5284      200      3050
                                                       407,537    12,220       X         28-1500     6412      5808
AMERICAN EAGLE OUTFITTERS
   NE                     COM            02553E106      35,325       750       X         28-5284      750
                                                        17,663       375       X      X  28-5284      375
                                                        75,878     1,611       X         28-1500     1611
AMERICAN ECOLOGY CORP     COM NEW        025533407     124,308    10,385       X      X  28-1500    10385
AMERICAN ELEC PWR INC     COM            025537101   1,620,917    47,202       X         28-5284    47002               200
                                                     1,860,026    54,165       X      X  28-5284    14210     22895   17060
                                                        41,208     1,200       X      X  28-1500     1200
                                                        49,175     1,432       X         28-4580     1432
                                                       128,432     3,740       X      X  28-4580     3198               542
AMERICAN EXPRESS CO       COM            025816109  37,449,691   664,355       X         28-5284   574236     53989   36130
                                                    23,695,806   420,362       X      X  28-5284   192277    158193   69892
                                                        49,493       878       X         28-1500      245       633
                                                        82,526     1,464       X         28-4580     1464
                                                     1,113,308    19,750       X      X  28-4580    19750
AMERICAN FINL GROUP INC
   OHIO                   COM            025932104      57,423     1,834       X         28-5284      368      1466
AMERICAN FINL RLTY TR     COM            02607P305      29,124     1,800       X      X  28-5284     1400       400
0            COLUMN TOTAL                           69,297,029
0
0
0




1                                                               FILE NO. 28-1235
PAGE 13 OF 183                                                    AS OF 12/31/04

     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 GREETINGS CORP   CL A           026375105       5,070       200       X      X  28-5284                200
AMERICAN HEALTHWAYS INC   COM            02649V104       2,478        75       X         28-5284       75
AMERICAN HOME MTG INVT
   CORP                   COM            02660R107       3,425       100       X      X  28-5284      100
AMERICAN INCOME FD INC    COM            02672T109      17,367     2,100       X      X  28-1500     2100
AMERICAN INSD MTG-INVS
   L P 8                  DEPOSITARY UNI 02686E106       2,131     1,639       X         28-5284     1639
AMERICAN INTL GROUP INC   COM            026874107 185,608,375 2,826,380       X         28-5284  2418006     23811  384563
                                                   112,657,804 1,715,514       X      X  28-5284  1157850    279044  278620
                                                     6,722,244   102,364       X         28-1500    85704     16660
                                                     1,054,463    16,057       X         28-4580    16057
                                                     3,140,668    47,825       X      X  28-4580    46100      1725
AMERICAN ISRAELI PAPER
   MLS L                  ORD IS 10      027069509      94,545     1,719       X         28-5284     1719
                                                         8,250       150       X      X  28-5284      150
AMERICAN LD LEASE INC     COM            027118108       1,375        61       X      X  28-5284       61
AMERICAN LOCKER GROUP     COM            027284108     116,517     7,900       X         28-5284     7900
AMERICAN MED SYS HLDGS
   INC                    COM            02744M108      41,810     1,000       X      X  28-5284     1000
AMERICAN NATL INS CO      COM            028591105      20,832       200       X      X  28-5284      200
AMERICAN PAC CORP         COM            028740108       1,532       180       X         28-5284      180
AMERICAN PHARMACEUTICALS
   PTN                    COM            02886P109      11,223       300       X      X  28-5284      300
                                                     1,669,945    44,639       X                    44639
AMERICAN PWR CONVERSION
   CORP                   COM            029066107     197,008     9,206       X         28-5284     9206
                                                       173,340     8,100       X      X  28-5284     1600              6500
AMERICAN REAL ESTATE
   PARTNR                 DEPOSITRY UNIT 029169109       2,917       102       X      X  28-4580        9                93
AMERICAN SOFTWARE INC     CL A           029683109       9,648     1,600       X      X  28-5284     1600
AMERICAN STD COS INC DEL  COM            029712106      78,095     1,890       X         28-5284     1890
                                                       830,532    20,100       X      X  28-5284    20100
AMERICAN TOWER CORP       CL A           029912201       6,900       375       X         28-5284      375
0            COLUMN TOTAL                          312,478,494
0
0
0




1                                                               FILE NO. 28-1235
PAGE 14 OF 183                                                    AS OF 12/31/04

     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 SUPERCONDUCTOR
   CORP                   COM            030111108       1,489       100       X         28-5284      100
AMERICAN TECHNOLOGY CORP  COM NEW        030145205      55,250     5,000       X         28-5284     5000
AMERICAN WOODMARK CORP    COM            030506109      34,944       800       X         28-5284      800
AMERICREDIT CORP          COM            03060R101      21,394       875       X         28-5284      875
                                                        17,115       700       X      X  28-5284      700
AMERISTAR CASINOS INC     COM            03070Q101       3,449        80       X      X  28-4580        5                75
AMERIVEST PPTYS INC DEL   COM            03071L101      83,200    13,000       X      X  28-1500    13000
AMERUS GROUP CO           COM            03072M108     213,137     4,705       X         28-5284      434              4271
                                                        14,858       328       X      X  28-5284      328
AMERISOURCEBERGEN CORP    COM            03073E105      31,218       532       X         28-5284      232               300
                                                        50,289       857       X      X  28-5284      857
AMERIGROUP CORP           COM            03073T102         984        13       X         28-5284       13
                                                       453,960     6,000       X      X  28-5284     6000
AMERISERV FINL INC        COM            03074A102      88,252    17,070       X         28-5284    17070
                                                        12,925     2,500       X      X  28-5284     2500
AMERIGAS PARTNERS L P     UNIT L P INT   030975106      75,776     2,560       X         28-5284     2560
                                                        93,240     3,150       X      X  28-5284     3150
AMETEK INC NEW            COM            031100100      99,876     2,800       X         28-5284     2800
                                                        85,608     2,400       X      X  28-5284     2400
AMGEN INC                 COM            031162100  70,810,181 1,103,822       X         28-5284  1016994      8737   78091
                                                    47,191,498   735,643       X      X  28-5284   469506    101874  164263
                                                       908,043    14,155       X         28-1500    14155
                                                       309,203     4,820       X      X  28-1500     4820
                                                     1,371,142    21,374       X         28-4580    20791               583
                                                     1,557,177    24,274       X      X  28-4580    14080     10194
                                                     3,399,950    53,000       X                    53000
AMKOR TECHNOLOGY INC      COM            031652100      26,720     4,000       X         28-5284     4000
AMPAL AMERN ISRAEL CORP   CL A           032015109       3,800     1,000       X         28-5284     1000
AMPAL AMERN ISRAEL CORP   PFD CV 6.50%   032015307      39,583     3,566       X         28-5284     3566
0            COLUMN TOTAL                          127,054,261
0
0
0




1                                                               FILE NO. 28-1235
PAGE 15 OF 183                                                    AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- -------- --------- -------
                                                                                        
AMSOUTH BANCORPORATION    COM            032165102   3,605,280   139,200       X         28-5284   135800              3400
                                                       157,394     6,077       X      X  28-5284     2077      4000
                                                         5,180       200       X         28-1500                200
AMSURG CORP               COM            03232P405      33,233     1,125       X         28-5284     1125
AMYLIN PHARMACEUTICALS
   INC                    COM            032346108      16,352       700       X         28-5284      700
                                                        24,762     1,060       X      X  28-5284     1060
                                                       140,160     6,000       X      X  28-1500     6000
ANADARKO PETE CORP        COM            032511107   8,073,511   124,572       X         28-5284   114177       450    9945
                                                     4,352,899    67,164       X      X  28-5284    34811     28207    4146
                                                       103,696     1,600       X         28-1500     1400       200
                                                        55,413       855       X         28-4580      855
                                                        14,906       230       X      X  28-4580       30       200
ANALOG DEVICES INC        COM            032654105  10,363,444   280,700       X         28-5284   266322      7893    6485
                                                     3,744,316   101,417       X      X  28-5284    72565     26532    2320
                                                       247,290     6,698       X         28-4580     6698
                                                        46,519     1,260       X      X  28-4580      570       690
ANDERSONS INC             COM            034164103     248,778     9,756       X      X  28-1500     9756
ANDREW CORP               COM            034425108       7,251       532       X         28-5284      532
                                                         5,452       400       X      X  28-5284      400
                                                        13,630     1,000       X         28-4580     1000
ANDRX CORP DEL            ANDRX GROUP    034553107       3,275       150       X         28-5284      150
ANGLO AMERN PLC           ADR            03485P102      46,724     1,964       X         28-5284     1572       392
                                                       708,775    29,793       X      X  28-5284    29793
ANGLOGOLD ASHANTI LTD     SPONSORED ADR  035128206      10,905       300       X         28-5284      300
                                                        42,711     1,175       X      X  28-5284     1175
ANHEUSER BUSCH COS INC    COM            035229103  65,755,617 1,296,188       X         28-5284  1222908     21181   52099
                                                    35,132,402   692,537       X      X  28-5284   392427    229798   70312
                                                       290,176     5,720       X         28-1500     4800       920
                                                     1,428,810    28,165       X         28-4580    27974               191
                                                     1,294,122    25,510       X      X  28-4580    24233      1060     217
                                                       202,920     4,000       X                     4000
ANIXTER INTL INC          COM            035290105       9,213       256       X         28-5284      256
0            COLUMN TOTAL                          136,185,116
0
0
0




1                                                               FILE NO. 28-1235
PAGE 16 OF 183                                                    AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- -------- --------- -------
                                                                                         
ANNALY MTG MGMT INC       COM            035710409      56,898     2,900       X         28-5284     2900
                                                       186,390     9,500       X      X  28-5284      500      9000
                                                         9,810       500       X      X  28-1500      500
                                                        12,106       617       X      X  28-4580       74               543
ANSYS INC                 COM            03662Q105      32,060     1,000       X      X  28-5284     1000
ANTEON INTL CORP          COM            03674E108     129,766     3,100       X      X  28-5284               3100
ANTHRACITE CAP INC        COM            037023108      43,260     3,500       X         28-5284     3500
                                                         6,180       500       X      X  28-5284                500
ANTIGENICS INC DEL        COM            037032109      10,120     1,000       X         28-5284     1000
                                                        22,264     2,200       X      X  28-5284                       2200
                                                         2,024       200       X      X  28-1500      200
ANWORTH MORTGAGE ASSET CP COM            037347101      28,917     2,700       X         28-5284     1700              1000
                                                       160,650    15,000       X         28-4580    15000
AON CORP                  COM            037389103     644,268    27,002       X         28-5284    26802       200
                                                       986,897    41,362       X      X  28-5284    36250              5112
                                                     5,256,358   220,300       X                   220300
APACHE CORP               COM            037411105   1,246,146    24,642       X         28-5284    21820              2822
                                                     3,782,636    74,800       X      X  28-5284    69340      3160    2300
                                                       177,400     3,508       X      X  28-1500     3508
                                                        19,065       377       X         28-4580      377
APARTMENT INVT & MGMT CO  CL A           03748R101       3,738        97       X         28-5284       97
                                                         9,365       243       X      X  28-5284      243
APOLLO GROUP INC          CL A           037604105      64,245       796       X         28-5284      796
                                                       496,367     6,150       X      X  28-5284     6000       150
APOLLO INVT CORP          COM            03761U106      30,200     2,000       X         28-5284     2000
APPLE COMPUTER INC        COM            037833100     754,188    11,711       X         28-5284    10711              1000
                                                     1,057,448    16,420       X      X  28-5284     4220     12200
                                                       314,014     4,876       X      X  28-1500     4876
                                                       148,120     2,300       X         28-4580     2300
                                                           129         2       X      X  28-4580        2
APPLEBEES INTL INC        COM            037899101      62,475     2,362       X         28-5284                300    2062
                                                       532,968    20,150       X      X  28-5284    20150
0            COLUMN TOTAL                           16,286,472
0
0
0




1                                                               FILE NO. 28-1235
PAGE 17 OF 183                                                    AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- -------- --------- -------
                                                                                       
APRIA HEALTHCARE
   GROUP INC              COM            037933108       6,590       200       X         28-5284      200
APPLERA CORP              COM AP BIO GRP 038020103     628,178    30,042       X         28-5284    30042
                                                       210,668    10,075       X      X  28-5284     4975      5100
APPLERA CORP              COM CE GEN GRP 038020202      41,566     3,023       X         28-5284     3023
                                                        12,581       915       X      X  28-5284      515       400
APPLIED DIGITAL SOLUTIONS COM NEW        038188306      18,900     2,800       X         28-5284     2800
                                                         1,013       150       X      X  28-5284      150
APPLIED INDL TECHNOLOGIES
   IN                     COM            03820C105      27,400     1,000       X         28-5284     1000
APPLIED MICRO CIRCUITS
   CORP                   COM            03822W109       2,665       633       X         28-5284      633
APPLIED MATLS INC         COM            038222105  23,025,595 1,346,526       X         28-5284  1044841      3970  297715
                                                     6,626,985   387,543       X      X  28-5284   211695    158741   17107
                                                     1,359,775    79,519       X         28-1500    63519     16000
                                                        20,862     1,220       X         28-4580     1220
                                                        20,520     1,200       X      X  28-4580     1200
                                                     1,165,536    68,160       X                    68160
AQUA AMERICA INC          COM            03836W103   1,438,171    58,486       X         28-5284    58486
                                                     2,535,844   103,125       X      X  28-5284    50143     51982    1000
                                                       487,128    19,810       X      X  28-1500    19810
AQUILA INC                COM            03840P102       1,170       317       X         28-5284      317
                                                        13,649     3,699       X      X  28-5284     3699
ARADIGM CORP              COM            038505103       1,730     1,000       X         28-5284     1000
ARAMARK CORP              CL B           038521100     306,005    11,543       X         28-5284    11543
                                                        26,510     1,000       X      X  28-5284               1000
ARCH CHEMICALS INC        COM            03937R102      11,972       416       X         28-5284      416
                                                       200,510     6,967       X      X  28-5284     6692       275
ARCH COAL INC             COM            039380100       9,276       261       X         28-5284      261
ARCHER DANIELS MIDLAND CO COM            039483102     734,468    32,921       X         28-5284    32079               842
                                                       962,855    43,158       X      X  28-5284    32402     10321     435
ARCHSTONE SMITH TR        COM            039583109     274,305     7,162       X         28-5284     7162
                                                     4,352,067   113,631       X      X  28-5284     2200     10431  101000
0            COLUMN TOTAL                           44,524,494
0
0
0




1                                                               FILE NO. 28-1235
PAGE 18 OF 183                                                    AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- -------- --------- -------
                                                                                         
ARDEN RLTY INC            COM            039793104      75,440     2,000       X      X  28-5284     2000
ARGONAUT GROUP INC        COM            040157109       2,853       135       X         28-5284      135
                                                        11,136       527       X      X  28-5284       27               500
ARGOSY GAMING CO          COM            040228108      23,350       500       X         28-5284      500
                                                         2,382        51       X      X  28-4580        9                42
ARIBA INC                 COM NEW        04033V203      33,233     2,002       X         28-5284     2002
                                                         2,407       145       X      X  28-5284      145
                                                        46,762     2,817       X         28-1500     2817
ARKANSAS BEST CORP DEL    COM            040790107      11,223       250       X         28-5284      250
                                                         8,978       200       X      X  28-5284      200
ARMOR HOLDINGS INC        COM            042260109      14,106       300       X         28-5284                        300
                                                       188,080     4,000       X      X  28-5284     4000
AROTECH CORP              COM            042682104       4,860     3,000       X         28-5284     3000
ARRIS GROUP INC           COM            04269Q100      24,640     3,500       X      X  28-5284     3500
ARROW ELECTRS INC         COM            042735100       5,735       236       X         28-5284      236
ARTESIAN RESOURCES CORP   CL A           043113208      56,240     2,000       X         28-5284      500              1500
                                                        15,466       550       X      X  28-5284      550
                                                       140,066     4,981       X         28-1500     3981      1000
ARTESYN TECHNOLOGIES INC  COM            043127109   1,707,622   151,117       X         28-5284   151117
                                                         5,650       500       X         28-1500      500
ARVINMERITOR INC          COM            043353101      62,010     2,772       X         28-5284     2772
                                                        32,369     1,447       X      X  28-5284               1447
ASHLAND INC               COM            044204105     425,999     7,297       X         28-5284     2797              4500
                                                       137,310     2,352       X      X  28-5284      225       543    1584
                                                        69,005     1,182       X      X  28-1500     1182
ASIA TIGERS FD INC        COM            04516T105      11,600     1,000       X      X  28-5284     1000
ASSOCIATED BANC CORP      COM            045487105      78,157     2,352       X         28-5284     1358       130     864
                                                        33,230     1,000       X      X  28-5284                       1000
0            COLUMN TOTAL                            3,229,909
0
0
0




1                                                               FILE NO. 28-1235
PAGE 19 OF 183                                                    AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- -------- --------- -------
                                                                                       
ASTORIA FINL CORP         COM            046265104       2,398        60       X         28-5284       60
                                                       159,880     4,000       X      X  28-5284               4000
ASTRAZENECA PLC           SPONSORED ADR  046353108      33,479       920       X         28-5284      920
                                                        65,502     1,800       X      X  28-5284     1300               500
ATLANTIS PLASTICS INC     COM            049156102      48,950     2,750       X         28-5284     2750
ATLAS PIPELINE PARTNERS
   LP                     UNIT L P INT   049392103       4,190       100       X      X  28-5284                100
ATMEL CORP                COM            049513104     372,400    95,000       X      X  28-5284              95000
ATMOS ENERGY CORP         COM            049560105     849,901    31,075       X         28-5284    26075              5000
                                                        16,410       600       X      X  28-5284                600
ATRION CORP               COM            049904105       6,827       148       X         28-1500      148
AUDIBLE INC               COM NEW        05069A302       2,605       100       X         28-5284      100
AUSTRALIA&NEW ZEALAND
   BKG GR                 SPONSORED ADR  052528304      16,184       200       X         28-5284      200
AUTHENTIDATE HLDG CORP    COM            052666104       1,238       200       X      X  28-1500      200
AUTODESK INC              COM            052769106   1,054,517    27,787       X         28-5284    27787
                                                     1,003,019    26,430       X      X  28-5284    24830              1600
AUTOLIV INC               COM            052800109     271,543     5,622       X         28-5284     5622
                                                       119,494     2,474       X      X  28-5284     2189       285
AUTOMATIC DATA PROCESSING
   IN                     COM            053015103 108,741,765 2,451,900       X         28-5284  1971636     25049  455215
                                                    53,323,735 1,202,339       X      X  28-5284   892890    174549  134900
                                                     6,061,226   136,668       X         28-1500   123692     12976
                                                       276,522     6,235       X         28-4580     6235
                                                       855,245    19,284       X      X  28-4580    19284
AUTONATION INC            COM            05329W102      19,210     1,000       X         28-5284     1000
                                                       134,470     7,000       X      X  28-5284                       7000
AUTOZONE INC              COM            053332102      47,938       525       X         28-5284      525
AVALON HLDGS CORP         CL A           05343P109         158        50       X      X  28-5284       50
AVANEX CORP               COM            05348W109      84,736    25,600       X         28-5284    25600
0            COLUMN TOTAL                          173,573,542
0
0
0




1                                                               FILE NO. 28-1235
PAGE 20 OF 183                                                    AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- -------- --------- -------
                                                                                        
AVALONBAY CMNTYS INC      COM            053484101       7,907       105       X      X  28-5284                        105
AVAYA INC                 COM            053499109      78,019     4,536       X         28-5284     4136               400
                                                        68,886     4,005       X      X  28-5284     2312      1618      75
                                                         7,413       431       X         28-4580      431
                                                         2,425       141       X      X  28-4580      141
AVENTIS                   SPONSORED ADR  053561106      93,900     1,000       X         28-5284     1000
AVERY DENNISON CORP       COM            053611109  13,318,557   222,087       X         28-5284   219412       725    1950
                                                     2,040,359    34,023       X      X  28-5284    23818     10205
                                                         9,595       160       X         28-4580      160
                                                        59,970     1,000       X      X  28-4580     1000
AVIALL INC NEW            COM            05366B102      25,267     1,100       X      X  28-5284     1100
AVID TECHNOLOGY INC       COM            05367P100      24,083       390       X         28-5284      390
                                                       146,348     2,370       X      X  28-5284               2370
                                                        24,700       400       X         28-4580      400
AVISTA CORP               COM            05379B107       7,068       400       X      X  28-5284      400
AVOCENT CORP              COM            053893103      91,373     2,250       X      X  28-5284                       2250
AVON PRODS INC            COM            054303102   6,918,554   178,774       X         28-5284    98229       600   79945
                                                       774,697    20,018       X      X  28-5284    19618               400
                                                        42,415     1,096       X         28-1500     1096
AWARE INC MASS            COM            05453N100       2,425       500       X         28-5284      500
AXA                       SPONSORED ADR  054536107      42,966     1,736       X         28-5284     1436               300
                                                        17,523       708       X      X  28-5284      118       590
                                                        54,450     2,200       X      X  28-1500     2200
AXCELIS TECHNOLOGIES INC  COM            054540109      20,398     2,509       X         28-5284     2274       235
                                                        93,235    11,468       X      X  28-5284     3221      8247
AZTAR CORP                COM            054802103       2,200        63       X      X  28-4580        6                57
AXCAN PHARMA INC          COM            054923107       2,454       127       X         28-5284      127
0            COLUMN TOTAL                           23,977,187
0
0
0




1                                                               FILE NO. 28-1235
PAGE 21 OF 183                                                    AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- -------- --------- -------
                                                                                      
BB&T CORP                 COM            054937107  13,533,793   321,850       X         28-5284   311438             10412
                                                     2,674,801    63,610       X      X  28-5284    56423      7187
                                                       138,807     3,301       X         28-1500     1000      2301
                                                       147,175     3,500       X         28-4580     3500
                                                        21,025       500       X      X  28-4580      500
B A S F  A G              SPONSORED ADR  055262505       2,449        34       X         28-5284       34
BCE INC                   COM            05534B109       2,413       100       X         28-5284      100
                                                       110,998     4,600       X      X  28-5284     4600
BG PLC                    ADR FIN INST N 055434203      10,335       300       X         28-5284      300
                                                        35,552     1,032       X      X  28-1500     1032
BISYS GROUP INC           COM            055472104       9,508       578       X         28-5284      578
                                                        13,028       792       X      X  28-1500      792
BKF CAP GROUP INC         COM            05548G102       5,192       137       X         28-5284      137
BJS WHOLESALE CLUB INC    COM            05548J106     827,292    28,400       X         28-5284    28400
                                                       194,880     6,690       X      X  28-5284      190      6000     500
BJ SVCS CO                COM            055482103      68,507     1,472       X         28-5284     1472
                                                         3,072        66       X      X  28-1500       66
BOC GROUP PLC             SPONSORED ADR  055617609       3,055        80       X         28-5284       80
BP PLC                    SPONSORED ADR  055622104 115,395,071 1,975,943       X         28-5284  1825694     65339   84910
                                                   188,301,106 3,224,334       X      X  28-5284  1108077    732262 1383995
                                                       910,281    15,587       X         28-1500              15587
                                                     3,526,718    60,389       X         28-4580    50634              9755
                                                     8,900,569   152,407       X      X  28-4580    99495      3852   49060
BP PRUDHOE BAY RTY TR     UNIT BEN INT   055630107     111,090     2,300       X         28-5284      300              2000
                                                        43,470       900       X      X  28-5284      900
BRE PROPERTIES INC        CL A           05564E106     105,249     2,611       X         28-5284     2611
                                                       185,426     4,600       X      X  28-5284     4400       200
BT GROUP PLC              ADR            05577E101       5,416       137       X         28-5284      137
                                                         3,953       100       X      X  28-5284      100
0            COLUMN TOTAL                          335,290,231
0
0
0




1                                                               FILE NO. 28-1235
PAGE 22 OF 183                                                    AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- -------- --------- -------
                                                                                       
BMC SOFTWARE INC          COM            055921100      11,718       630       X         28-5284      630
                                                       145,080     7,800       X      X  28-5284     7800
BNCCORP INC               COM            055936108   1,875,800   113,000       X         28-1500   113000
BAKER HUGHES INC          COM            057224107   8,468,502   198,465       X         28-5284   187615      1695    9155
                                                     2,511,684    58,863       X      X  28-5284    37624     18529    2710
                                                        93,874     2,200       X         28-4580     2200
                                                        64,773     1,518       X      X  28-4580     1518
BALL CORP                 COM            058498106  12,277,369   279,158       X         28-5284   256021      8038   15099
                                                     6,002,786   136,489       X      X  28-5284    81079     47210    8200
                                                       277,074     6,300       X         28-4580     6300
                                                       110,830     2,520       X      X  28-4580     2200       320
BALLARD PWR SYS INC       COM            05858H104       3,560       525       X         28-5284                525
                                                        11,187     1,650       X      X  28-5284     1650
BALLY TOTAL FITNESS HLDG
   COR                    COM            05873K108       3,392       800       X         28-5284      800
BANCO BILBAO VIZCAYA
   ARGENTA                SPONSORED ADR  05946K101       4,400       248       X         28-5284      248
BANCO SANTANDER CENT
   HISPANO                ADR            05964H105     175,877    14,218       X         28-5284    11718              2500
BANCORP RHODE ISLAND INC  COM            059690107     118,860     3,000       X      X  28-5284               3000
BANCORPSOUTH INC          COM            059692103     146,220     6,000       X         28-5284     6000
                                                       110,640     4,540       X      X  28-5284     4540
                                                     3,246,084   133,200       X         28-1500   133200
BANCROFT CONV FD INC      COM            059695106      54,559     2,855       X         28-5284     2855
BANK OF AMERICA
   CORPORATION            COM            060505104 256,452,671 5,457,601       X         28-5284  5242193     94465  120943
                                                   364,665,613 7,760,494       X      X  28-5284  6616420   1040466  103608
                                                     3,700,463    78,750       X         28-1500    70100      8650
                                                     5,670,612   120,677       X         28-4580   118869              1808
                                                     1,850,466    39,380       X      X  28-4580    33888      4750     742
BANK HAWAII CORP          COM            062540109     211,281     4,164       X         28-5284     4164
                                                       176,677     3,482       X      X  28-5284     3482
BANK MONTREAL QUE         COM            063671101     722,100    15,000       X         28-5284    15000
                                                        16,849       350       X      X  28-5284      350
0            COLUMN TOTAL                          669,181,001
0
0
0




1                                                               FILE NO. 28-1235
PAGE 23 OF 183                                                    AS OF 12/31/04

     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   2,432,408    72,783       X         28-5284    72183               600
                                                     1,381,984    41,352       X      X  28-5284    25504     14967     881
                                                       681,768    20,400       X         28-4580    20400
BANK NOVA SCOTIA HALIFAX  COM            064149107     849,635    25,100       X         28-5284    25100
BANK OAKRIDGE NORTH
   CAROLINA               COM            064180102     135,500    12,500       X      X  28-5284    12500
BANK OF WILMINGTON        COM            065824104     169,350    15,000       X      X  28-5284    15000
BANKATLANTIC BANCORP      CL A           065908501      19,900     1,000       X         28-5284     1000
                                                         5,672       285       X      X  28-5284      285
BANKNORTH GROUP INC NEW   COM            06646R107     401,099    10,959       X         28-5284    10809       150
                                                     1,005,439    27,471       X      X  28-5284    26431              1040
BANKUNITED FINL CORP      CL A           06652B103       3,355       105       X         28-5284      105
BANTA CORP                COM            066821109       7,833       175       X         28-5284      175
BAR HBR BANKSHARES        COM            066849100      57,960     2,000       X      X  28-5284     2000
BARCLAYS PLC              ADR            06738E204       9,136       200       X      X  28-5284      200
BARD C R INC              COM            067383109   9,170,893   143,340       X         28-5284   129060        30   14250
                                                     1,960,347    30,640       X      X  28-5284    24710      5380     550
                                                       375,819     5,874       X         28-4580     5685               189
                                                         1,152        18       X      X  28-4580                         18
BARNES & NOBLE INC        COM            067774109      41,628     1,290       X         28-5284     1290
                                                       212,982     6,600       X      X  28-5284     3050      3550
                                                        18,523       574       X      X  28-4580      574
BARNES GROUP INC          COM            067806109       2,916       110       X         28-5284      110
                                                        26,510     1,000       X      X  28-5284     1000
BARRICK GOLD CORP         COM            067901108     120,543     4,977       X         28-5284     4212       765
                                                     1,114,386    46,011       X      X  28-5284    42711      3300
0            COLUMN TOTAL                           20,206,738
0
0
0




1                                                               FILE NO. 28-1235
PAGE 24 OF 183                                                    AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- -------- --------- -------
                                                                                        
BARR PHARMACEUTICALS INC  COM            068306109   2,933,277    64,411       X         28-5284    62936              1475
                                                     1,182,628    25,969       X      X  28-5284    10395     14862     712
                                                        13,116       288       X      X  28-1500      288
                                                         6,831       150       X         28-4580      150
                                                        13,662       300       X      X  28-4580                300
BAUSCH & LOMB INC         COM            071707103     328,746     5,100       X         28-5284     5100
                                                       351,307     5,450       X      X  28-5284      350      5100
BAXTER INTL INC           COM            071813109   7,397,915   214,184       X         28-5284   198517      2180   13487
                                                     7,291,947   211,116       X      X  28-5284   124477     50393   36246
                                                        37,131     1,075       X      X  28-1500     1075
                                                        32,122       930       X         28-4580      930
                                                        79,580     2,304       X      X  28-4580     2304
BAXTER INTL INC           CORP UNITS 7%  071813406     778,583    13,790       X         28-5284    13790
                                                        16,938       300       X      X  28-5284      300
BAY VIEW CAP CORP DEL     COM NEW        07262L309       5,221       341       X         28-5284      341
BAYER A G                 SPONSORED ADR  072730302      16,990       500       X         28-5284                500
                                                        10,194       300       X      X  28-5284                300
                                                         3,398       100       X      X  28-1500      100
BEA SYS INC               COM            073325102      32,738     3,695       X         28-5284     3695
                                                        23,213     2,620       X      X  28-5284     2620
                                                        41,642     4,700       X         28-1500     4700
BEACON POWER CORP         COM            073677106         475       516       X      X  28-5284      516
BEAR STEARNS COS INC      COM            073902108     167,175     1,634       X         28-5284     1534               100
                                                       581,428     5,683       X      X  28-5284     5683
BEAZER HOMES USA INC      COM            07556Q105      43,863       300       X      X  28-5284      300
BECKMAN COULTER INC       COM            075811109     188,510     2,814       X         28-5284     2164               650
                                                     1,284,868    19,180       X      X  28-5284     9690      9490
                                                        10,785       161       X         28-4580      161
                                                       124,735     1,862       X      X  28-4580     1862
BECTON DICKINSON & CO     COM            075887109   3,278,837    57,726       X         28-5284    25726     32000
                                                       962,533    16,946       X      X  28-5284    13246      3700
0            COLUMN TOTAL                           27,240,388
0
0
0




1                                                               FILE NO. 28-1235
PAGE 25 OF 183                                                    AS OF 12/31/04

     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  37,647,356   945,201       X         28-5284   892426      5805   46970
                                                    15,748,782   395,400       X      X  28-5284   304536     74719   16145
                                                        75,836     1,904       X      X  28-1500     1904
                                                     1,675,369    42,063       X         28-4580    41068               995
                                                       573,592    14,401       X      X  28-4580    10759      3033     609
BELLSOUTH CORP            COM            079860102  32,397,137 1,165,784       X         28-5284  1028323     12294  125167
                                                    25,379,468   913,259       X      X  28-5284   652644    204117   56498
                                                       302,772    10,895       X         28-1500              10895
                                                     1,720,368    61,906       X         28-4580    57970              3936
                                                     1,358,153    48,872       X      X  28-4580    48096       400     376
BELO CORP                 COM SER A      080555105      73,472     2,800       X         28-5284     2800
BEMIS INC                 COM            081437105     509,657    17,520       X         28-5284    17520
                                                        69,816     2,400       X      X  28-5284     2400
BENCHMARK ELECTRS INC     COM            08160H101      17,903       525       X         28-5284      525
BENTLEY PHARMACEUTICALS
   INC                    COM            082657107      10,750     1,000       X         28-5284      500               500
BERKLEY W R CORP          COM            084423102   6,143,279   130,237       X         28-5284   130237
                                                       233,161     4,943       X      X  28-5284     4943
BERKSHIRE BANCORP INC DEL COM NEW        084597202       1,845        90       X         28-5284       90
BERKSHIRE HATHAWAY INC
   DEL                    CL A           084670108           0       348       X         28-5284      244         1     103
                                                             0     1,274       X      X  28-5284     1181         5      88
                                                             0        28       X         28-1500       28
                                                             0        25       X      X  28-1500       25
                                                             0        10       X      X  28-4580       10
BERKSHIRE HATHAWAY INC
   DEL                    CL B           084670207  48,884,400    16,650       X         28-5284    14318        23    2309
                                                    17,272,488     5,883       X      X  28-5284     4163       597    1123
                                                     4,210,224     1,434       X         28-1500     1269       165
                                                       563,712       192       X         28-4580      192
                                                       469,760       160       X      X  28-4580       38               122
BERRY PETE CO             CL A           085789105     725,040    15,200       X      X  28-5284    15200
0            COLUMN TOTAL                          196,064,340
0
0
0




1                                                               FILE NO. 28-1235
PAGE 26 OF 183                                                    AS OF 12/31/04

     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  21,144,964   355,856       X         28-5284   339207      2770   13879
                                                     4,889,434    82,286       X      X  28-5284    56796     22545    2945
                                                         7,190       121       X         28-1500      121
                                                       169,288     2,849       X      X  28-1500     2849
                                                       649,461    10,930       X         28-4580    10468               462
                                                       159,899     2,691       X      X  28-4580     2549       100      42
BEVERLY HILLS BANCORP DEL COM            087866109     115,019    11,388       X         28-5284    11388
BHP BILLITON LTD          SPONSORED ADR  088606108       8,383       349       X         28-5284      349
                                                       411,318    17,124       X      X  28-5284    14774      2350
BIG LOTS INC              COM            089302103      97,173     8,011       X         28-5284     8011
                                                       426,442    35,156       X      X  28-5284    35156
BIO IMAGING TECHNOLOGIES
   INC                    COM            09056N103       4,384       800       X         28-5284      800
BIODELIVERY SCIENCES INTL
   IN                     COM            09060J106       3,168       900       X      X  28-1500      900
BIOMET INC                COM            090613100     747,653    17,231       X         28-5284    14887              2344
                                                       600,952    13,850       X      X  28-5284    13850
                                                        90,034     2,075       X      X  28-1500     2075
BIOGEN IDEC INC           COM            09062X103     252,052     3,784       X         28-5284     3784
                                                       170,655     2,562       X      X  28-5284     2562
                                                         8,992       135       X      X  28-1500      135
BIOPURE CORP              CL A           09065H105      32,450    55,000       X      X  28-1500    55000
BIOTECH HOLDERS TR        DEPOSTRY RCPTS 09067D201     168,212     1,100       X         28-5284     1100
                                                       259,964     1,700       X      X  28-5284     1200       500
BIOVAIL CORP              COM            09067J109      10,579       640       X         28-5284      640
                                                        24,795     1,500       X      X  28-5284                       1500
BIOLASE TECHNOLOGY INC    COM            090911108      72,829     6,700       X         28-5284     6700
BIOSITE INC               COM            090945106      23,078       375       X      X  28-5284       75       300
BLACK & DECKER CORP       COM            091797100     445,360     5,042       X         28-5284     4842       200
                                                       973,838    11,025       X      X  28-5284     4200      5625    1200
                                                         8,833       100       X      X  28-1500      100
                                                        13,250       150       X      X  28-4580      150
0            COLUMN TOTAL                           31,989,649
0
0
0




1                                                               FILE NO. 28-1235
PAGE 27 OF 183                                                    AS OF 12/31/04

     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      34,576     1,127       X         28-5284     1127
                                                        55,224     1,800       X      X  28-5284     1800
BLACKROCK ADVANTAGE TERM
   TR                     COM            09247A101     107,789    10,295       X         28-5284    10295
BLACKROCK FLA INVT
   QUALITY M              COM            09247B109      48,612     3,455       X         28-5284     3455
                                                        71,757     5,100       X      X  28-5284     5100
BLACKROCK NJ INVT QUALITY
   MU                     COM            09247C107      28,963     1,977       X         28-5284     1977
BLACKROCK INVT QUALITY
   MUN T                  COM            09247D105     327,466    22,156       X         28-5284    22156
                                                       184,868    12,508       X      X  28-5284    10508      2000
BLACKROCK NY INVT QUALITY
   MU                     COM            09247E103     293,757    20,908       X         28-5284    20908
                                                       161,744    11,512       X      X  28-5284    11512
BLACKROCK INCOME TR INC   COM            09247F100      38,014     5,287       X         28-5284     5287
                                                        95,088    13,225       X      X  28-5284     4625      8600
                                                        51,588     7,175       X      X  28-1500     7175
BLACKROCK FL INSD MUN
   2008 T                 COM            09247H106     278,057    17,543       X         28-5284    17543
                                                        47,550     3,000       X      X  28-5284     1000      2000
BLACKROCK INSD MUN 2008
   TRM                    COM            09247K109     102,019     6,255       X         28-5284     6255
                                                       203,125    12,454       X      X  28-5284    12454
                                                        26,863     1,647       X      X  28-4580      113              1534
BLACKROCK NY INSD MUN
   2008 T                 COM            09247L107      20,917     1,300       X         28-5284     1300
                                                        34,030     2,115       X      X  28-5284     2115
BLACKROCK MUN TARGET TERM
   TR                     COM            09247M105   1,479,111   141,002       X         28-5284   141002
                                                       258,390    24,632       X      X  28-5284    24632
BLACKROCK CALIF INVT
   QUALITY                COM            09247U107      52,540     3,700       X         28-5284     3700
BLACKROCK INC             CL A           09247X101     123,616     1,600       X         28-5284     1600
                                                       113,572     1,470       X      X  28-5284     1470
                                                       502,190     6,500       X      X  28-1500     6500
                                                   381,278,100 4,935,000       X                  4935000
BLACKROCK INSD MUN TERM
   TR I                   COM            092474105   1,327,773   117,502       X         28-5284   117502
                                                       351,023    31,064       X      X  28-5284    31064
BLACKROCK INCOME OPP
   TRUST I                COM            092475102      56,420     5,200       X         28-5284     5200
0            COLUMN TOTAL                          387,754,742
0
0
0




1                                                               FILE NO. 28-1235
PAGE 28 OF 183                                                    AS OF 12/31/04

     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 MUN INCOME TR   SH BEN INT     09248F109     208,062    14,560       X         28-5284    14560
                                                       146,701    10,266       X      X  28-5284     6966      3300
                                                        70,264     4,917       X      X  28-1500     4917
BLACKROCK N J MUN INCOME
   TR                     SH BEN INT     09248J101      35,950     2,500       X         28-5284     2500
                                                        58,958     4,100       X      X  28-5284     4100
BLACKROCK N Y MUN INCOME
   TR                     SH BEN INT     09248L106      33,312     2,400       X         28-5284     2400
                                                         1,388       100       X      X  28-5284      100
BLACKROCK HIGH YIELD TR   SH BEN INT     09248N102      70,384     7,448       X         28-5284     7448
BLACKROCK PA STRATEGIC
   MUN T                  COM            09248R103     251,200    16,000       X         28-5284    16000
                                                        47,100     3,000       X      X  28-5284     1000      1000    1000
BLACKROCK STRATEGIC MUN
   TR                     COM            09248T109      52,272     3,600       X      X  28-5284     3600
BLACKROCK NJ MUNICIPAL
   BOND                   COM            09249A109      32,087     2,142       X      X  28-5284     2142
BLACKROCK CORE BD TR      SHS BEN INT    09249E101      66,395     4,900       X         28-5284     4900
BLACKROCK MUNI INCOME TR
   II                     COM            09249N101      31,790     2,200       X      X  28-5284     2200
                                                        26,805     1,855       X      X  28-1500     1855
BLACKROCK PFD OPPORTUNITY
   TR                     COM SHS        09249V103     309,758    12,200       X         28-5284    12200
                                                        34,073     1,342       X      X  28-5284     1042       300
BLACKROCK LTD DURATION
   INC T                  COM SHS        09249W101     108,391     5,350       X         28-5284     5350
                                                        20,260     1,000       X      X  28-5284     1000
BLACKROCK STRAT DIVD
   ACHIEVE                COM            09249Y107      41,132     2,800       X      X  28-1500     2800
BLACKROCK DIVID ACHIEVRS
   TM                     COM            09250N107     216,920    14,500       X         28-5284    14500
                                                           224        15       X      X  28-5284                         15
BLAIR CORP                COM            092828102  13,741,189   385,339       X         28-5284   385339
                                                       933,222    26,170       X      X  28-5284    26170
BLOCK H & R INC           COM            093671105   1,409,485    28,765       X         28-5284    27465              1300
                                                       581,385    11,865       X      X  28-5284     2665      8100    1100
                                                        75,460     1,540       X      X  28-1500     1540
0            COLUMN TOTAL                           18,604,167
0
0
0




1                                                               FILE NO. 28-1235
PAGE 29 OF 183                                                    AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- -------- --------- -------
                                                                                        
BLOCKBUSTER INC           CL A           093679108      29,297     3,071       X         28-5284     2503        72     496
                                                         4,675       490       X      X  28-5284      393        97
BLOCKBUSTER INC           CL B           093679207      14,836     1,684       X         28-5284     1188               496
                                                         4,317       490       X      X  28-5284      393        97
BLUE DOLPHIN ENERGY CO    COM NEW        095395208       8,771     8,950       X         28-1500     8950
BOEING CO                 COM            097023105   8,901,282   171,939       X         28-5284   153042      2100   16797
                                                    10,810,922   208,826       X      X  28-5284   131509     36918   40399
                                                       139,002     2,685       X      X  28-1500     2685
                                                       122,954     2,375       X         28-4580     2375
                                                       227,788     4,400       X      X  28-4580     3800       600
BORDERS GROUP INC         COM            099709107       1,016        40       X         28-5284       40
                                                         1,270        50       X      X  28-5284       50
BORG WARNER INC           COM            099724106      10,834       200       X      X  28-5284      200
BOSTON BEER INC           CL A           100557107         702        33       X         28-5284       33
                                                        10,635       500       X      X  28-5284                500
BOSTON PRIVATE FINL HLDGS
   IN                     COM            101119105     101,412     3,600       X      X  28-5284     3600
BOSTON PROPERTIES INC     COM            101121101  11,740,256   181,541       X         28-5284   170807      4677    6057
                                                     7,498,681   115,953       X      X  28-5284    43713     41850   30390
                                                        67,904     1,050       X         28-4580     1050
BOSTON SCIENTIFIC CORP    COM            101137107     167,369     4,708       X         28-5284     4708
                                                     1,523,140    42,845       X      X  28-5284    34120      8725
                                                        44,438     1,250       X      X  28-1500     1250
BOWATER INC               COM            102183100      91,809     2,088       X      X  28-5284               2088
                                                     1,974,253    44,900       X                    44900
BOWL AMER INC             CL A           102565108         649        46       X      X  28-5284                 46
BOYD GAMING CORP          COM            103304101       2,916        70       X      X  28-4580        7                63
BRADLEY PHARMACEUTICALS
   INC                    COM            104576103       3,880       200       X         28-5284      200
BRANDYWINE RLTY TR        SH BEN INT NEW 105368203      32,329     1,100       X         28-5284     1100
                                                       111,682     3,800       X      X  28-5284     3800
0            COLUMN TOTAL                           43,649,019
0
0
0




1                                                               FILE NO. 28-1235
PAGE 30 OF 183                                                    AS OF 12/31/04

     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     240,590     7,000       X      X  28-5284     7000
BRIGGS & STRATTON CORP    COM            109043109   1,703,117    40,960       X         28-5284    40000               960
                                                       182,952     4,400       X      X  28-5284      100      4300
BRIGHTPOINT INC           COM NEW        109473405       1,094        56       X         28-1500       56
BRINKER INTL INC          COM            109641100     127,479     3,635       X         28-5284     3635
BRISTOL MYERS SQUIBB CO   COM            110122108 124,558,496 4,861,768       X         28-5284  4612205     34741  214822
                                                    76,755,829 2,995,934       X      X  28-5284  2150485    667988  177461
                                                       825,605    32,225       X         28-1500      250     31975
                                                     2,245,619    87,651       X         28-4580    86623              1028
                                                     3,509,581   136,986       X      X  28-4580   125875     11111
BRITESMILE INC            COM NEW        110415205       5,655       755       X         28-5284      755
BRITISH AWYS PLC          ADR 2ND INSTAL 110419306      11,283       250       X         28-5284      250
BRITISH AMERN TOB PLC     SPONSORED ADR  110448107      17,325       500       X         28-5284      500
BROADBAND HOLDRS TR       DEPOSITRY RCPT 11130P104     292,250    17,500       X         28-5284    17500
                                                         5,010       300       X      X  28-5284      300
BROADCOM CORP             CL A           111320107     562,221    17,417       X         28-5284    17417
                                                        19,045       590       X      X  28-5284      590
                                                       166,403     5,155       X                     5155
BROADWING CORP            COM            11161E101       2,551       280       X      X  28-5284      280
BROCADE COMMUNICATIONS
   SYS I                  COM            111621108       7,640     1,000       X         28-5284     1000
BROOKLINE BANCORP INC DEL COM            11373M107      16,320     1,000       X         28-5284     1000
                                                         3,558       218       X      X  28-5284      218
BROWN & BROWN INC         COM            115236101      16,462       378       X         28-5284      378
                                                       540,020    12,400       X      X  28-5284    12400
BROWN FORMAN CORP         CL A           115637100   9,618,563   189,491       X         28-5284   145343             44148
                                                     2,244,201    44,212       X      X  28-5284      148             44064
BROWN FORMAN CORP         CL B           115637209   9,633,237   197,889       X         28-5284   131275             66614
                                                    11,706,177   240,472       X      X  28-5284   161598      2666   76208
                                                        63,284     1,300       X         28-1500               1300
0            COLUMN TOTAL                          245,081,567
0
0
0




1                                                               FILE NO. 28-1235
PAGE 31 OF 183                                                    AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- -------- --------- -------
                                                                                        
BRUNSWICK CORP            COM            117043109      59,400     1,200       X         28-5284     1200
BRUSH ENGINEERED MATLS
   INC                    COM            117421107     185,000    10,000       X      X  28-5284    10000
BRYN MAWR BK CORP         COM            117665109     359,888    16,366       X         28-5284    16366
                                                       178,119     8,100       X      X  28-5284     2000      6100
BSQUARE CORP              COM            11776U102       7,450     5,000       X      X  28-5284     5000
BUCKEYE PARTNERS L P      UNIT LTD PARTN 118230101     433,992    10,255       X         28-5284     9755               500
                                                       522,652    12,350       X      X  28-5284     6050      6300
BURLINGTON NORTHN SANTA
   FE C                   COM            12189T104   2,778,469    58,729       X         28-5284    54710      1550    2469
                                                     8,782,960   185,647       X      X  28-5284   135153     35329   15165
                                                        70,965     1,500       X      X  28-1500     1500
                                                        57,955     1,225       X         28-4580     1225
                                                       321,708     6,800       X      X  28-4580     6800
BURLINGTON RES INC        COM            122014103   7,923,699   182,154       X         28-5284   175866      4884    1404
                                                     8,790,089   202,071       X      X  28-5284   148608     43463   10000
                                                       209,670     4,820       X      X  28-1500     4820
                                                        17,835       410       X         28-4580      410
                                                       413,772     9,512       X      X  28-4580     9020       492
BUSINESS OBJECTS S A      SPONSORED ADR  12328X107      12,670       500       X         28-5284      500




1                                                               FILE NO. 28-1235
PAGE 32 OF 183                                                    AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- -------- --------- -------
                                                                                        
CH ENERGY GROUP INC       COM            12541M102      86,490     1,800       X         28-5284     1800
                                                         9,610       200       X      X  28-5284                200
C H ROBINSON WORLDWIDE
   INC                    COM            12541W100       7,773       140       X         28-5284      140
CIGNA CORP                COM            125509109   7,330,288    89,865       X         28-5284    75986     12200    1679
                                                    11,569,236   141,832       X      X  28-5284    42701     98231     900
                                                       194,055     2,379       X      X  28-4580     2379
CIT GROUP INC             COM            125581108     141,080     3,079       X         28-5284     3079
                                                         9,164       200       X      X  28-5284      200
                                                        11,913       260       X         28-4580      260
CLECO CORP NEW            COM            12561W105      28,506     1,407       X         28-5284     1407
                                                        81,162     4,006       X      X  28-5284     1580      1050    1376
CMGI INC                  COM            125750109         893       350       X         28-5284      200               150
                                                         5,419     2,125       X      X  28-5284     2125
CMS ENERGY CORP           COM            125896100       2,195       210       X         28-5284      210
CSK AUTO CORP             COM            125965103       1,590        95       X         28-5284       95
CNF INC                   COM            12612W104     810,618    16,180       X         28-5284    16180
                                                       200,400     4,000       X      X  28-5284     4000
CNB FINL CORP PA          COM            126128107      57,263     3,750       X      X  28-5284     3750
CNET NETWORKS INC         COM            12613R104     129,145    11,500       X         28-5284     1500             10000
                                                        20,214     1,800       X      X  28-5284     1800
CNOOC LTD                 SPONSORED ADR  126132109       3,793        70       X         28-5284       70
CP HOLDRS                 DEP RCPTS CP   12616K106     202,200     2,500       X         28-5284     2500
CSX CORP                  COM            126408103   2,376,664    59,298       X         28-5284    57386              1912
                                                     1,372,780    34,251       X      X  28-5284     8456     21895    3900
                                                       100,160     2,499       X         28-4580     2499
CTS CORP                  COM            126501105       7,017       528       X      X  28-5284      528
CUNO INC                  COM            126583103      89,100     1,500       X      X  28-5284     1500
0            COLUMN TOTAL                           24,848,728
0
0
0




1                                                               FILE NO. 28-1235
PAGE 33 OF 183                                                    AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- -------- --------- -------
                                                                                       
CVB FINL CORP             COM            126600105      26,560     1,000       X         28-5284     1000
CVS CORP                  COM            126650100  24,165,858   536,185       X         28-5284   421750      1340  113095
                                                     3,109,695    68,997       X      X  28-5284    31432     28365    9200
                                                     3,073,774    68,200       X         28-1500    68200
                                                       363,084     8,056       X      X  28-1500     8056
                                                        10,366       230       X         28-4580      230
CABELAS INC               COM            126804301     856,161    37,650       X         28-5284    37650
CABLE & WIRELESS PUB LTD
   CO                     SPONSORED ADR  126830207      81,600    12,000       X      X  28-5284                      12000
CABLEVISION SYS CORP      CL A NY CABLVS 12686C109       1,743        70       X         28-5284       70
                                                       187,995     7,550       X      X  28-5284     1050              6500
                                                         7,470       300       X      X  28-1500      300
CABOT CORP                COM            127055101      96,700     2,500       X         28-5284     2500
                                                        58,020     1,500       X      X  28-5284     1500
                                                        15,472       400       X      X  28-4580                400
CABOT MICROELECTRONICS
   CORP                   COM            12709P103       4,488       112       X      X  28-4580                112
CABOT OIL & GAS CORP      COM            127097103       4,425       100       X         28-5284      100
CACI INTL INC             CL A           127190304       6,813       100       X         28-5284      100
                                                       299,772     4,400       X      X  28-5284               4400
CADBURY SCHWEPPES PLC     ADR            127209302      75,400     2,000       X         28-5284      100              1900
                                                        43,732     1,160       X      X  28-5284      100      1060
                                                       377,000    10,000       X      X  28-4580    10000
CADENCE DESIGN SYSTEM INC COM            127387108         691        50       X      X  28-5284       50
CAESARS ENTMT INC         COM            127687101      38,266     1,900       X         28-5284     1900
                                                       134,374     6,672       X      X  28-5284     6672
                                                         2,538       126       X      X  28-4580       13               113
CALAMOS CONV & HIGH
   INCOME F               COM SHS        12811P108     617,466    35,941       X         28-5284    35941
                                                       269,176    15,668       X      X  28-5284     2987     10681    2000
CALAMOS CONV OPP AND INC
   FD                     SH BEN INT     128117108       9,476       458       X         28-5284      458
                                                        42,642     2,061       X      X  28-5284     2061
0            COLUMN TOTAL                           33,980,757
0
0
0




1                                                               FILE NO. 28-1235
PAGE 34 OF 183                                                    AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- -------- --------- -------
                                                                                         
CALAMOS STRATEGIC TOTL
   RETN                   COM SH BEN INT 128125101      13,660       975       X         28-5284      975
CALAMP CORP               COM            128126109          18         2       X         28-5284        2
CALGON CARBON CORP        COM            129603106      10,896     1,200       X         28-5284     1200
CALIFORNIA COASTAL CMNTYS
   IN                     COM NEW        129915203          24         1       X         28-5284        1
CALIFORNIA WTR SVC GROUP  COM            130788102      17,507       465       X         28-5284      465
                                                        13,178       350       X      X  28-5284      350
CALIPER LIFE SCIENCES INC COM            130872104       4,518       600       X      X  28-1500      600
CALLAWAY GOLF CO          COM            131193104       1,350       100       X         28-5284      100
CALPINE CORP              COM            131347106      13,396     3,400       X         28-5284     3400
                                                        23,167     5,880       X      X  28-5284     5880
                                                           788       200       X      X  28-4580      200
CAMCO FINL CORP           COM            132618109       1,109        72       X         28-5284       72
CAMDEN NATL CORP          COM            133034108      39,410     1,000       X      X  28-5284               1000
                                                       792,141    20,100       X         28-1500    20100
CAMDEN PPTY TR            SH BEN INT     133131102      58,905     1,155       X         28-5284     1155
                                                       158,100     3,100       X      X  28-5284     1000      2100
                                                        10,200       200       X         28-4580      200
CAMECO CORP               COM            13321L108      20,972       200       X         28-5284      200
                                                       152,047     1,450       X      X  28-5284     1450
                                                       220,206     2,100       X      X  28-1500     2100
CAMPBELL SOUP CO          COM            134429109   3,399,898   113,747       X         28-5284   108247      3200    2300
                                                    43,758,512 1,463,985       X      X  28-5284    53817   1408418    1750
                                                        41,846     1,400       X      X  28-4580     1400
CANADIAN NATL RY CO       COM            136375102      88,751     1,449       X         28-5284     1449
CANADIAN NAT RES LTD      COM            136385101      17,108       400       X      X  28-5284                400
CANON INC                 ADR            138006309      60,554     1,116       X         28-5284      116              1000
0            COLUMN TOTAL                           48,918,261
0
0
0




1                                                               FILE NO. 28-1235
PAGE 35 OF 183                                                    AS OF 12/31/04

     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 AUTOMOTIVE REIT   COM SH BEN INT 139733109     291,305     8,200       X         28-5284     8200
                                                        35,525     1,000       X      X  28-5284     1000
CAPITAL BK CORP           COM            139793103     673,812    36,700       X         28-1500    36700
CAPITAL CROSSING BK       COM            140071101  10,305,680   334,600       X         28-1500   334600
CAPITAL ONE FINL CORP     COM            14040H105     793,174     9,419       X         28-5284     8169              1250
                                                       368,587     4,377       X      X  28-5284     4377
                                                        91,789     1,090       X      X  28-1500     1090
CAPITAL ONE FINL CORP     DECS UPPR 6.25 14040H204      59,262     1,050       X         28-5284     1050
CAPSTONE TURBINE CORP     COM            14067D102       2,745     1,500       X         28-5284     1500
                                                         3,038     1,660       X      X  28-5284     1660
CAPSTEAD MTG CORP         PFD B CV $1.26 14067E308      17,000     1,250       X         28-5284     1250
CAPSTEAD MTG CORP         COM NO PAR     14067E506       2,034       193       X         28-5284      193
CARDINAL FINL CORP        COM            14149F109      27,850     2,500       X      X  28-1500     2500
CARDINAL HEALTH INC       COM            14149Y108  48,444,300   833,092       X         28-5284   689567      3370  140155
                                                     8,485,422   145,923       X      X  28-5284   106467     27058   12398
                                                     3,027,347    52,061       X         28-1500    52061
                                                       273,887     4,710       X      X  28-1500     4710
                                                        90,888     1,563       X         28-4580     1563
                                                       134,675     2,316       X      X  28-4580     2316
CARDINAL STATE BANK
   DURHAM N               COM            141546101     110,600    10,000       X      X  28-5284    10000
CARDIOTECH INTL INC       COM            14160C100       7,918     2,684       X      X  28-5284     2684
CAREMARK RX INC           COM            141705103     107,999     2,739       X         28-5284     1578              1161
                                                       102,400     2,597       X      X  28-5284     1056       574     967
CARLISLE COS INC          COM            142339100     740,088    11,400       X         28-5284     8400              3000
                                                       129,840     2,000       X      X  28-5284      800              1200
CARMAX INC                COM            143130102       4,875       157       X         28-5284      157
                                                        28,908       931       X      X  28-5284      790       141
0            COLUMN TOTAL                           74,360,948
0
0
0




1                                                               FILE NO. 28-1235
PAGE 36 OF 183                                                    AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- -------- --------- -------
                                                                                        
CARNIVAL CORP             PAIRED CTF     143658300  19,238,392   333,826       X         28-5284   330401       400    3025
                                                     4,325,708    75,060       X      X  28-5284    46698     17277   11085
                                                        11,526       200       X      X  28-1500      200
                                                        70,885     1,230       X         28-4580     1230
                                                        76,417     1,326       X      X  28-4580     1326
CARPENTER TECHNOLOGY CORP COM            144285103   4,314,348    73,800       X         28-5284    38000     35800
                                                    65,133,092 1,114,148       X      X  28-5284  1111204      2344     600
CARTER INC                COM            146229109       1,020        30       X      X  28-5284       30
CASEYS GEN STORES INC     COM            147528103      14,520       800       X         28-5284      800
CATALINA MARKETING CORP   COM            148867104       4,711       159       X         28-5284      159
CATALYTICA ENERGY SYS INC COM            148884109       1,684       745       X      X  28-5284      745
CATELLUS DEV CORP NEW     COM            149113102      23,776       777       X         28-5284      777
                                                       239,843     7,838       X      X  28-5284     4456      3382
CATERPILLAR INC DEL       COM            149123101   5,072,568    52,021       X         28-5284    30860       750   20411
                                                     5,903,353    60,541       X      X  28-5284    49086     10533     922
                                                        19,502       200       X         28-1500                200
                                                       136,514     1,400       X         28-4580     1400
                                                       230,416     2,363       X      X  28-4580     2363
CATHAY GENERAL BANCORP    COM            149150104      37,500     1,000       X         28-5284     1000
CAVALRY BANCORP INC       COM            149547101       1,137        51       X         28-1500       51
CEDAR FAIR L P            DEPOSITRY UNIT 150185106   3,597,714   109,353       X         28-5284   109353
                                                       492,151    14,959       X      X  28-5284     2800     10759    1400
                                                        16,450       500       X      X  28-1500      500
CELADON GROUP INC         COM            150838100     111,250     5,000       X      X  28-5284     5000
CELL GENESYS INC          COM            150921104      16,200     2,000       X      X  28-5284                       2000
CELESTICA INC             SUB VTG SHS    15101Q108       2,822       200       X         28-5284      200
CELGENE CORP              COM            151020104     121,992     4,600       X         28-5284     3800               800
                                                        12,464       470       X      X  28-5284      470
0            COLUMN TOTAL                          109,227,955
0
0
0




1                                                               FILE NO. 28-1235
PAGE 37 OF 183                                                    AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- -------- --------- -------
                                                                                        
CEMEX S A                 SPON ADR 5 ORD 151290889      23,163       636       X      X  28-5284      636
CENDANT CORP              COM            151313103   1,729,489    73,973       X         28-5284    42733     31240
                                                     1,711,697    73,212       X      X  28-5284    13765     20247   39200
                                                        10,311       441       X         28-1500      441
                                                       151,269     6,470       X      X  28-1500     6470
                                                        11,690       500       X         28-4580      500
CENTERPOINT ENERGY INC    COM            15189T107     125,633    11,118       X         28-5284    11118
                                                       440,135    38,950       X      X  28-5284    14224      3426   21300
CENTERPOINT PPTYS TR      COM            151895109       9,578       200       X      X  28-5284      200
CENTEX CORP               COM            152312104      26,215       440       X         28-5284      440
                                                        11,916       200       X      X  28-5284                200
                                                        17,874       300       X      X  28-1500      300
CENTRA SOFTWARE INC       COM            15234X103       4,680     2,000       X         28-5284     2000
CENTRAL EUROPE AND
   RUSSIA FD              COM            153436100     452,200    16,150       X      X  28-5284    15150      1000
CENTRAL FD CDA LTD        CL A           153501101     136,750    25,000       X         28-5284    25000
CENTRAL PAC FINL CORP     COM            154760102   1,595,097    44,100       X         28-1500    44100
CENTRAL SECS CORP         COM            155123102     121,859     5,333       X         28-5284     5333
CENTRAL VT PUB SVC CORP   COM            155771108       3,489       150       X         28-5284      150
CENTURY ALUM CO           COM            156431108      26,260     1,000       X         28-5284     1000
CENTURYTEL INC            COM            156700106   2,879,455    81,180       X         28-5284    49743             31437
                                                        50,545     1,425       X      X  28-5284     1425
                                                        34,406       970       X         28-1500      970
                                                       161,814     4,562       X      X  28-1500     4562
CEPHALON INC              COM            156708109      86,496     1,700       X         28-5284     1700
                                                         3,867        76       X         28-1500       76
CERADYNE INC              COM            156710105      22,884       400       X         28-5284      400
                                                     1,086,990    19,000       X      X  28-5284    19000
0            COLUMN TOTAL                           10,935,762
0
0
0




1                                                               FILE NO. 28-1235
PAGE 38 OF 183                                                    AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- -------- --------- -------
                                                                                          
CERIDIAN CORP NEW         COM            156779100      18,280     1,000       X         28-5284     1000
                                                           402        22       X      X  28-5284       22
CERTEGY INC               COM            156880106     760,555    21,406       X         28-5284    21406
                                                        79,267     2,231       X      X  28-5284     1931       300
CHALONE WINE GROUP LTD    COM            157639105       1,657       117       X         28-5284                        117
CHAMPION ENTERPRISES INC  COM            158496109      70,920     6,000       X      X  28-5284     6000
CHAMPS ENTMT INC DEL      COM            158787101       1,724       200       X      X  28-1500      200
CHARLES RIVER ASSOCIATES  COM            159852102       7,016       150       X         28-5284      150
CHARLES RIV LABS INTL INC COM            159864107     115,025     2,500       X         28-5284     2500
CHARTERMAC                SH BEN INT     160908109      17,475       715       X         28-5284      715
                                                        59,071     2,417       X      X  28-5284     2417
                                                        56,945     2,330       X      X  28-1500     2330
                                                        48,880     2,000       X         28-4580     2000
CHARMING SHOPPES INC      COM            161133103       4,591       490       X         28-5284      490
CHATTEM INC               COM            162456107       2,152        65       X         28-5284       65
                                                         8,176       247       X         28-1500      247
CHECKERS DRIVE-IN
   RESTAURANT             COM NEW        162809305      12,650       944       X         28-1500      944
CHECKFREE CORP NEW        COM            162813109      60,928     1,600       X         28-5284     1600
CHECKPOINT SYS INC        COM            162825103      74,547     4,130       X         28-5284     4130
CHEESECAKE FACTORY INC    COM            163072101      79,616     2,452       X         28-5284     2340               112
CHEMICAL FINL CORP        COM            163731102     997,418    23,239       X         28-1500    23239
CHESAPEAKE CORP           COM            165159104       8,148       300       X         28-5284      300
                                                        39,002     1,436       X      X  28-5284     1436
CHESAPEAKE ENERGY CORP    COM            165167107     156,915     9,510       X         28-5284     9510
                                                        23,100     1,400       X      X  28-5284     1400
                                                        49,500     3,000       X      X  28-1500     3000
0            COLUMN TOTAL                            2,753,960
0
0
0




1                                                               FILE NO. 28-1235
PAGE 39 OF 183                                                    AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- -------- --------- -------
                                                                                      
CHESAPEAKE UTILS CORP     COM            165303108       8,010       300       X         28-5284      300
                                                       141,510     5,300       X      X  28-5284     1800      3500
CHESTER VALLEY BANCORP    COM            166335109     202,446     9,226       X         28-5284     9226
CHEVRONTEXACO CORP        COM            166764100 152,163,793 2,897,806       X         28-5284  2658052     25061  214693
                                                   192,800,337 3,671,688       X      X  28-5284  1187424    493494 1990770
                                                       673,493    12,826       X         28-1500     1340     11486
                                                     3,699,540    70,454       X         28-4580    66712              3742
                                                     2,282,242    43,463       X      X  28-4580    39011      2194    2258
CHICAGO BRIDGE & IRON CO
   N V                    N Y REGISTRY S 167250109       3,200        80       X         28-5284       80
                                                        10,000       250       X      X  28-5284                250
CHICAGO MERCANTILE HLDGS
   INC                    CL A           167760107     960,540     4,200       X      X  28-5284     4200
                                                     1,063,455     4,650       X                     4650
CHICOS FAS INC            COM            168615102     120,655     2,650       X         28-5284     2550               100
                                                     1,155,961    25,389       X      X  28-5284    25389
CHILE FD INC              COM            168834109      69,950     5,000       X         28-5284     5000
CHINA FD INC              COM            169373107      39,264     1,200       X         28-5284     1200
                                                         3,272       100       X      X  28-5284      100
CHINA MOBILE HONG KONG
   LTD                    SPONSORED ADR  16941M109       3,089       180       X         28-5284      180
CHINA PETE & CHEM CORP    SPON ADR H SHS 16941R108       1,271        31       X         28-5284       31
CHINA TELECOM CORP LTD    SPON ADR H SHS 169426103     139,840     3,800       X      X  28-5284     3800
CHOICE HOTELS INTL INC    COM            169905106      58,000     1,000       X      X  28-5284     1000
                                                        43,500       750       X      X  28-4580      750
CHIRON CORP               COM            170040109     161,684     4,851       X         28-5284     4851
                                                        15,798       474       X      X  28-5284      474
CHITTENDEN CORP           COM            170228100      39,705     1,382       X         28-5284                       1382
CHOICEPOINT INC           COM            170388102      97,315     2,116       X         28-5284     2116
                                                       103,202     2,244       X      X  28-5284     2244
CHRISTOPHER & BANKS CORP  COM            171046105      60,885     3,300       X      X  28-5284     3300
0            COLUMN TOTAL                          356,121,957
0
0
0




1                                                               FILE NO. 28-1235
PAGE 40 OF 183                                                    AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- -------- --------- -------
                                                                                       
CHROMAVISION MED SYS INC  COM            17111P104       4,320     2,000       X         28-5284     2000
CHUBB CORP                COM            171232101   2,604,834    33,873       X         28-5284    30653      1220    2000
                                                     6,791,962    88,322       X      X  28-5284    39804     43970    4548
                                                        11,535       150       X      X  28-1500      150
                                                        15,380       200       X      X  28-4580      200
CHURCH & DWIGHT INC       COM            171340102     151,290     4,500       X         28-5284     4500
                                                     4,740,420   141,000       X      X  28-5284   141000
                                                         7,565       225       X      X  28-1500      225
                                                     9,329,550   277,500       X                   277500
CHURCHILL DOWNS INC       COM            171484108   2,109,080    47,183       X         28-5284    46332               851
                                                       258,366     5,780       X      X  28-5284     5780
                                                        88,998     1,991       X         28-1500     1991
CIBER INC                 COM            17163B102       7,500       778       X         28-5284      778
CIENA CORP                COM            171779101       1,670       500       X         28-5284      500
                                                           835       250       X      X  28-1500      250
CIGNA INVTS SECS INC      COM            17179X106       1,844       100       X         28-5284      100
CIMAREX ENERGY CO         COM            171798101      75,800     2,000       X         28-5284     2000
                                                       511,650    13,500       X      X  28-5284    13500
CINCINNATI BELL INC NEW   COM            171871106     491,377   118,404       X         28-5284   117204              1200
                                                        31,561     7,605       X      X  28-5284     7605
CINCINNATI BELL INC NEW   PFD CV DEP1/20 171871403      65,200     1,600       X      X  28-5284      200      1400
CINCINNATI FINL CORP      COM            172062101 105,340,880 2,380,047       X         28-5284  1865258      2730  512059
                                                    10,562,118   238,638       X      X  28-5284   226820      1460   10358
                                                     6,020,378   136,023       X         28-1500   136023
                                                     1,163,994    26,299       X      X  28-1500    26299
CINERGY CORP              COM            172474108   6,967,780   167,374       X         28-5284   166974        75     325
                                                     6,772,993   162,695       X      X  28-5284   156850      5395     450
                                                     2,355,925    56,592       X         28-1500              56592
                                                        29,141       700       X         28-4580      700
CIRCUIT CITY STORE INC    COM            172737108      14,076       900       X         28-5284      900
                                                        43,010     2,750       X      X  28-5284     2200       550
                                                        15,249       975       X                      975
0            COLUMN TOTAL                          166,586,281
0
0
0




1                                                               FILE NO. 28-1235
PAGE 41 OF 183                                                    AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- -------- --------- -------
                                                                                       
CISCO SYS INC             COM            17275R102  79,145,114 4,096,538       X         28-5284  3851941    137691  106906
                                                    61,647,744 3,190,877       X      X  28-5284  2436202    640033  114642
                                                       271,330    14,044       X         28-1500      555     13489
                                                     2,377,036   123,035       X         28-4580   121275              1760
                                                       987,407    51,108       X      X  28-4580    39733     11375
CINTAS CORP               COM            172908105  16,831,231   383,749       X         28-5284   338824      5425   39500
                                                    13,676,688   311,826       X      X  28-5284   221336     13370   77120
                                                        91,010     2,075       X      X  28-1500     2075
                                                         2,193        50       X         28-4580       50
CITIGROUP INC             COM            172967101 159,521,330 3,310,945       X         28-5284  3137848     55660  117437
                                                   105,973,500 2,199,533       X      X  28-5284  1470937    594728  133868
                                                     1,832,189    38,028       X         28-1500    23278     14750
                                                     4,020,814    83,454       X         28-4580    81332              2122
                                                     2,450,579    50,863       X      X  28-4580    44260      4794    1809
                                                       289,080     6,000       X                     6000
CITIGROUP INC             *W EXP 99/99/9 172967127         710       500       X         28-5284      500
                                                           412       290       X      X  28-5284      290
CITIZENS COMMUNICATIONS
   CO                     COM            17453B101      99,164     7,191       X         28-5284     7191
                                                       366,855    26,603       X      X  28-5284    26603
                                                        13,790     1,000       X      X  28-1500     1000
                                                        48,941     3,549       X      X  28-4580     3549
CITIZENS FINL CORP KY     CL A           174613109       1,020       150       X         28-5284      150
CITRIX SYS INC            COM            177376100      79,544     3,252       X         28-5284     3252
                                                       160,213     6,550       X      X  28-5284     6200               350
                                                        34,635     1,416       X         28-1500     1316       100
                                                         9,784       400       X      X  28-4580      400
CITY HLDG CO              COM            177835105     238,858     6,591       X         28-5284     6591
                                                     1,040,088    28,700       X         28-1500    28700
CITY INVESTING CO LIQ TR  UNIT BEN INT   177900107       1,119       580       X         28-5284      530                50
                                                           168        87       X      X  28-5284       87
CITY NATL CORP            COM            178566105       1,766        25       X         28-5284       25
                                                        70,650     1,000       X      X  28-5284     1000
CLAIRES STORES INC        COM            179584107      85,000     4,000       X         28-5284     4000
                                                        21,250     1,000       X      X  28-5284     1000
0            COLUMN TOTAL                          451,391,212
0
0
0




1                                                               FILE NO. 28-1235
PAGE 42 OF 183                                                    AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- -------- --------- -------
                                                                                       
CLASSIC BANCSHARES INC    COM            18272M104      13,972       313       X         28-1500      313
CLEAR CHANNEL
   COMMUNICATIONS         COM            184502102   1,181,728    35,286       X         28-5284    33736        30    1520
                                                     1,435,649    42,868       X      X  28-5284    24860     16788    1220
                                                       109,177     3,260       X      X  28-1500     3260
                                                        19,659       587       X         28-4580      587
                                                        13,396       400       X      X  28-4580      400
CLEVELAND CLIFFS INC      COM            185896107      25,965       250       X         28-5284      250
CLINICAL DATA INC NEW     COM            18725U109      19,860     1,500       X      X  28-5284                       1500
CLOROX CO DEL             COM            189054109  11,317,683   192,053       X         28-5284   178653             13400
                                                     3,232,311    54,850       X      X  28-5284    44308      8542    2000
                                                        44,787       760       X         28-1500                760
                                                       388,938     6,600       X      X  28-4580     6600
COACH INC                 COM            189754104  13,093,034   232,146       X         28-5284   219060       720   12366
                                                     6,166,438   109,334       X      X  28-5284    63941     43903    1490
                                                       208,511     3,697       X         28-4580     3425               272
                                                        58,656     1,040       X      X  28-4580     1040
COCA COLA CO              COM            191216100  82,331,816 1,977,229       X         28-5284  1728179     50460  198590
                                                    61,535,384 1,477,795       X      X  28-5284  1070321    368246   39228
                                                       200,330     4,811       X         28-1500               4811
                                                     2,431,943    58,404       X         28-4580    58404
                                                     3,426,347    82,285       X      X  28-4580    72785      9500
COCA COLA ENTERPRISES INC COM            191219104      86,131     4,131       X         28-5284     4131
COCA-COLA FEMSA S A DE C
   V                      SPON ADR REP L 191241108       9,504       400       X         28-5284      400
COEUR D ALENE MINES CORP
   IDA                    COM            192108108      11,790     3,000       X         28-5284     3000
COGNEX CORP               COM            192422103       2,316        83       X         28-1500       83
COGNOS INC                COM            19244C109     528,720    12,000       X      X  28-5284    12000
COGNIZANT TECHNOLOGY
   SOLUTIO                CL A           192446102     214,952     5,078       X         28-5284     5078
                                                     1,490,016    35,200       X      X  28-5284    35200
COHEN & STEERS QUALITY
   RLTY                   COM            19247L106      55,715     2,702       X      X  28-1500     2702
0            COLUMN TOTAL                          189,654,728
0
0
0




1                                                               FILE NO. 28-1235
PAGE 43 OF 183                                                    AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- -------- --------- -------
                                                                                       
COHEN & STEERS REIT & PFD
   IN                     COM            19247X100       5,436       200       X         28-5284      200
                                                       108,720     4,000       X      X  28-5284               4000
COHEN & STEERS REIT &
   UTIL I                 COM            19247Y108      14,070       750       X         28-5284      750

COHERENT INC              COM            192479103      30,440     1,000       X         28-5284     1000
COHEN & STEERS SELECT
   UTIL F                 COM            19248A109      11,892       600       X         28-5284      600
COINSTAR INC              COM            19259P300       5,366       200       X         28-1500      200
COLGATE PALMOLIVE CO      COM            194162103  51,392,573 1,004,546       X         28-5284   843105     14770  146671
                                                    31,490,464   615,529       X      X  28-5284   384391    209351   21787
                                                       153,685     3,004       X      X  28-1500     3004
                                                       515,897    10,084       X         28-4580    10084
                                                       630,700    12,328       X      X  28-4580     8128      4200
COLONIAL BANCGROUP INC    COM            195493309       1,698        80       X         28-5284       80
                                                       704,836    33,200       X      X  28-5284    26000      7200
COLONIAL HIGH INCOME MUN
   TR                     SH BEN INT     195743109      12,266     1,950       X         28-5284     1950
                                                       199,651    31,741       X      X  28-5284    31741
COLONIAL INSD MUN FD      COM            195761101      27,720     2,000       X      X  28-5284                       2000
COLONIAL INTERMARKET INCM
   TR                     SH BEN INT     195762109       9,190     1,000       X         28-5284     1000
COLONIAL MUN INCOME TR    SH BEN INT     195799101       1,423       250       X      X  28-5284      250
COLONIAL PPTYS TR         COM SH BEN INT 195872106     196,350     5,000       X      X  28-5284     1000      4000
COMCAST CORP NEW          CL A           20030N101  59,490,929 1,787,588       X         28-5284  1430898     19509  337181
                                                    16,266,266   488,770       X      X  28-5284   375410     96949   16411
                                                     4,583,022   137,711       X         28-1500   137711
                                                       521,997    15,685       X      X  28-1500    15685
                                                       277,555     8,340       X         28-4580     8340
                                                       439,995    13,221       X      X  28-4580    11221      2000
COMCAST CORP NEW          CL A SPL       20030N200  41,920,227 1,276,499       X         28-5284  1268675      6124    1700
                                                     4,611,261   140,416       X      X  28-5284    93843     41898    4675
                                                       151,064     4,600       X      X  28-1500     4600
                                                         4,926       150       X         28-4580      150
                                                         7,914       241       X      X  28-4580      241
                                                     3,182,196    96,900       X                    96900
0            COLUMN TOTAL                          216,969,729
0
0
0




1                                                               FILE NO. 28-1235
PAGE 44 OF 183                                                    AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- -------- --------- -------
                                                                                        
COMERICA INC              COM            200340107    170,368     2,792        X         28-5284     1843               949
                                                      514,094     8,425        X      X  28-5284     6150      1225    1050
COMM BANCORP INC          COM            200468106  1,014,120    25,040        X         28-5284    25040
COMMERCE BANCORP INC NJ   COM            200519106  1,236,094    19,194        X         28-5284    19194
                                                      283,360     4,400        X      X  28-5284     4400
                                                    1,197,840    18,600        X                    18600
COMMERCE BANCSHARES INC   COM            200525103     92,167     1,836        X      X  28-5284     1836
COMMERCE GROUP INC MASS   COM            200641108     12,208       200        X         28-5284      200
COMMERCIAL METALS CO      COM            201723103     12,640       250        X         28-5284      250
COMMERCIAL NET LEASE RLTY
   IN                     COM            202218103     37,080     1,800        X      X  28-5284     1800
COMMONWEALTH TEL
   ENTERPRISES            COM            203349105    195,263     3,932        X         28-5284     1932      2000
                                                       89,338     1,799        X      X  28-5284      133      1666
COMMUNITY BANCSHARES INC
   S C                    COM            20343F100     32,080     1,753        X      X  28-5284     1753
COMMUNITY BK SYS INC      COM            203607106    498,161    17,634        X         28-5284    17634
                                                       16,950       600        X      X  28-5284      600
                                                      717,550    25,400        X         28-1500    25400
COMMUNITY BKS INC
   MILLERSBUR             COM            203628102     39,086     1,388        X         28-5284     1388
                                                       55,869     1,984        X      X  28-5284     1984
COMMUNITY CAP CORP S C    COM            20363C102     31,884     1,323        X         28-5284                       1323
COMMUNITY TR BANCORP INC  COM            204149108  1,782,842    55,094        X         28-5284    38937             16157
                                                       36,178     1,118        X      X  28-5284     1118
                                                        2,751        85        X         28-1500       85
COMPANHIA SIDERURGICA
   NACION                 SPONSORED ADR  20440W105      1,912       100        X      X  28-5284      100
COMPANHIA VALE DO RIO
   DOCE                   SPONSORED ADR  204412209     14,505       500        X         28-5284      500
                                                        2,901       100        X      X  28-5284      100
COMPASS BANCSHARES INC    COM            20449H109      1,947        40        X         28-5284       40
                                                      613,242    12,600        X      X  28-5284     9000      3600
COMPUDYNE CORP            COM PAR $0.75  204795306    173,020    23,193        X         28-1500    23193
0            COLUMN TOTAL                           8,875,450
0
0
0




1                                                               FILE NO. 28-1235
PAGE 45 OF 183                                                    AS OF 12/31/04

     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 ASSOC INTL INC   COM            204912109     239,007    7,695        X         28-5284     7695
                                                        79,638    2,564        X      X  28-5284     2564
COMPUTER SCIENCES CORP    COM            205363104     188,840    3,350        X         28-5284     3350
                                                       241,151    4,278        X      X  28-5284     1000      3278
                                                       135,288    2,400        X         28-1500     2400
                                                        36,641      650        X      X  28-4580      650
COMPX INTERNATIONAL INC   CL A           20563P101         827       50        X         28-5284       50
COMPUWARE CORP            COM            205638109       6,410    1,000        X         28-5284     1000
COMSYS IT PARTNERS INC    COM            20581E104       2,000      200        X         28-5284      200
COMTECH
   TELECOMMUNICATIONS C   COM NEW        205826209     112,830    3,000        X         28-5284     3000
COMVERSE TECHNOLOGY INC   COM PAR $0.10  205862402     116,138    4,750        X         28-5284     4750
                                                        11,883      486        X      X  28-1500      486
CONAGRA FOODS INC         COM            205887102  10,707,195  363,572        X         28-5284   355472      5200    2900
                                                     5,405,312  183,542        X      X  28-5284   116039     44603   22900
                                                       103,075    3,500        X      X  28-1500     3500
                                                        15,726      534        X         28-4580      534
                                                        73,625    2,500        X      X  28-4580     2500
CONCUR TECHNOLOGIES INC   COM            206708109     104,033   11,676        X         28-5284    11676
CONCURRENT COMPUTER CORP
   NEW                    COM            206710204      44,902   15,700        X         28-5284    15700
                                                        75,504   26,400        X         28-1500    26400
CONEXANT SYSTEMS INC      COM            207142100      68,456   34,400        X         28-5284    34400
                                                        14,433    7,253        X      X  28-5284     4434       998    1821
                                                        85,108   42,768        X         28-1500    42768
CONMED CORP               COM            207410101      14,210      500        X      X  28-5284                500
CONOCOPHILLIPS            COM            20825C104  10,102,497  116,348        X         28-5284   105925       733    9690
                                                    12,744,994  146,781        X      X  28-5284    93935     35438   17408
                                                        55,571      640        X         28-1500                640
                                                     4,475,739   51,546        X         28-4580    49355              2191
                                                     8,968,237  103,285        X      X  28-4580   101307              1978
CONSECO INC               *W EXP 09/10/2 208464123         200       67        X      X  28-5284                 21      46
0            COLUMN TOTAL                           54,229,470
0
0
0




1                                                               FILE NO. 28-1235
PAGE 46 OF 183                                                    AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- -------- --------- -------
                                                                                        
CONSECO INC               COM NEW        208464883         219       11        X      X  28-5284                         11
CONSOL ENERGY INC         COM            20854P109     114,694    2,794        X         28-5284     2794
                                                       184,725    4,500        X      X  28-5284     4500
CONSOLIDATED EDISON INC   COM            209115104  15,761,069  360,253        X         28-5284   341633      5680   12940
                                                    11,509,750  263,080        X      X  28-5284   176041     73179   13860
                                                       566,344   12,945        X         28-4580    12645               300
                                                       304,194    6,953        X      X  28-4580     6253       700
CONSOLIDATED TOMOKA LD CO COM            210226106       4,558      106        X         28-5284      106
                                                        25,800      600        X      X  28-5284                        600
CONSTELLATION BRANDS INC  CL A           21036P108   1,013,918   21,800        X         28-5284    21800
                                                        91,718    1,972        X      X  28-5284     1972
                                                        20,232      435        X      X  28-1500      435
CONSTELLATION BRANDS INC  CL B           21036P207      20,787      448        X      X  28-5284      448
CONSTELLATION ENERGY
   GROUP I                COM            210371100     586,807   13,425        X         28-5284    12975       300     150
                                                     1,035,534   23,691        X      X  28-5284    18205      4156    1330
                                                        26,226      600        X         28-4580      600
CONTINENTAL AIRLS INC     CL B           210795308      40,620    3,000        X         28-5284     3000
CONVERIUM HLDG AG         SPONSORED ADR  21248N107         464      100        X         28-5284      100
CONVERGYS CORP            COM            212485106   2,111,252  140,844        X         28-5284   140844
                                                       269,160   17,956        X      X  28-5284    17956
                                                         2,998      200        X      X  28-1500      200
COOPER CAMERON CORP       COM            216640102       2,099       39        X         28-5284       39
                                                        64,357    1,196        X      X  28-5284      100      1096
COOPER COS INC            COM NEW        216648402     140,404    1,989        X         28-5284     1989
                                                     1,168,265   16,550        X      X  28-5284    16550
COOPER TIRE & RUBR CO     COM            216831107       2,586      120        X         28-5284      120
                                                       581,204   26,970        X      X  28-5284    26670       300
COORS ADOLPH CO           CL B           217016104      11,351      150        X         28-5284      150
COPART INC                COM            217204106       6,054      230        X         28-5284      230
0            COLUMN TOTAL                           35,667,389
0
0
0




1                                                               FILE NO. 28-1235
PAGE 47 OF 183                                                    AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- -------- --------- -------
                                                                                        
CORILLIAN CORP            COM            218725109       1,914       389       X         28-1500      389
CORINTHIAN COLLEGES INC   COM            218868107       3,769       200       X      X  28-1500      200
CORIXA CORP               COM            21887F100       1,532       421       X      X  28-5284      421
CORN PRODS INTL INC       COM            219023108     148,201     2,767       X         28-5284     2767
                                                     1,667,858    31,140       X      X  28-5284    20853      9537     750
                                                        10,712       200       X         28-4580      200
CORNERSTONE RLTY INCOME
   TR I                   COM            21922V102       9,980     1,000       X         28-5284     1000
                                                        20,858     2,090       X      X  28-5284               2090
CORNING INC               COM            219350105   2,950,986   250,721       X         28-5284   243831       300    6590
                                                     4,922,273   418,205       X      X  28-5284   192704    208145   17356
                                                        28,071     2,385       X         28-4580     2385
                                                        93,466     7,941       X      X  28-4580     7941
                                                       927,947    78,840       X                    78840
CORPORATE EXECUTIVE BRD
   CO                     COM            21988R102      30,123       450       X      X  28-5284      450
CORPORATE HIGH YIELD FD V
   IN                     COM            219931102      23,491     1,501       X      X  28-5284     1501
CORPORATE OFFICE PPTYS TR SH BEN INT     22002T108      22,013       750       X         28-5284      750
                                                       613,415    20,900       X      X  28-5284              20900
                                                        22,013       750       X         28-4580      750
CORRECTIONS CORP AMER NEW COM NEW        22025Y407      15,654       387       X         28-5284      387
                                                        21,317       527       X      X  28-1500      527
COSTCO WHSL CORP NEW      COM            22160K105  19,038,685   393,280       X         28-5284   294505      2165   96610
                                                     8,589,967   177,442       X      X  28-5284   152223     19109    6110
                                                        70,195     1,450       X         28-1500     1450
                                                       287,120     5,931       X      X  28-1500     5931
                                                         1,452        30       X         28-4580       30
                                                        24,205       500       X      X  28-4580      500
COUNTRYWIDE FINANCIAL
   CORP                   COM            222372104   6,968,613   188,290       X         28-5284   162652      9684   15954
                                                     3,911,994   105,701       X      X  28-5284    51298     23885   30518
                                                        22,206       600       X      X  28-1500      600
                                                        17,765       480       X         28-4580      480
                                                       128,203     3,464       X      X  28-4580     3464
0            COLUMN TOTAL                           50,595,998
0
0
0




1                                                               FILE NO. 28-1235
PAGE 48 OF 183                                                    AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- -------- --------- -------
                                                                                       
COVANCE INC               COM            222816100     131,750     3,400       X         28-5284     3400
                                                        48,476     1,251       X      X  28-5284      607       644
COVENTRY HEALTH CARE INC  COM            222862104      85,034     1,602       X         28-5284     1602
                                                       865,204    16,300       X      X  28-5284    16000       300
CRAFTMADE INTL INC        COM            22413E104       1,972       100       X         28-5284      100
                                                         3,944       200       X      X  28-1500      200
CRANE CO                  COM            224399105     166,897     5,787       X         28-5284     5787
                                                        80,752     2,800       X      X  28-5284     2800
CREDIT SUISSE ASSET MGMT
   INC                    COM            224916106      37,825     8,500       X         28-5284     8500
                                                        91,537    20,570       X      X  28-5284    20570
CRAY INC                  COM            225223106       4,660     1,000       X         28-5284                       1000
CREE INC                  COM            225447101      21,643       540       X         28-5284      540
                                                        24,048       600       X      X  28-5284      600
CRESCENT REAL ESTATE
   EQUITIE                COM            225756105     163,884     8,975       X         28-5284     8975
                                                        25,564     1,400       X      X  28-5284               1400
CRESCENT REAL ESTATE
   EQUITIE                PFD CV A 6.75% 225756204      18,412       826       X      X  28-5284      826
CROSS TIMBERS RTY TR      TR UNIT        22757R109      79,880     2,003       X         28-5284     2003
CROWN CASTLE INTL CORP    COM            228227104     332,800    20,000       X         28-5284    20000
                                                     7,664,317   460,596       X         28-4580                     460596
CROWN HOLDINGS INC        COM            228368106     272,299    19,818       X         28-5284    19338       480
                                                       371,392    27,030       X      X  28-5284    22450              4580
                                                        15,114     1,100       X      X  28-1500     1100
                                                        13,740     1,000       X      X  28-4580     1000
CRT PROPERTIES INC        COM            22876P109      11,930       500       X      X  28-5284      500
CUBIST PHARMACEUTICALS
   INC                    COM            229678107         592        50       X         28-5284       50
CUMMINS INC               COM            231021106  12,720,914   151,819       X         28-5284   144039        80    7700
                                                     2,139,997    25,540       X      X  28-5284    14305      9795    1440
                                                       377,474     4,505       X         28-4580     4165               340
                                                       149,817     1,788       X      X  28-4580     1788
0            COLUMN TOTAL                           25,921,868
0
0
0




1                                                               FILE NO. 28-1235
PAGE 49 OF 183                                                    AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- -------- --------- -------
                                                                                         
CUMULUS MEDIA INC         CL A           231082108       2,262       150       X         28-5284      150
CURAGEN CORP              COM            23126R101       7,160     1,000       X      X  28-5284     1000
CURTISS WRIGHT CORP       COM            231561101       2,756        48       X         28-5284       48
                                                        22,964       400       X      X  28-5284      400
CURTISS WRIGHT CORP       CL B           231561408       3,713        66       X         28-5284       66
                                                           563        10       X      X  28-5284       10
CUTTER & BUCK INC         COM            232217109      14,570     1,000       X      X  28-5284                       1000
CYANOTECH CORP            COM NEW        232437202          86        60       X      X  28-5284       60
CYBERONICS INC            COM            23251P102      41,440     2,000       X         28-5284                       2000
CYMER INC                 COM            232572107      14,386       487       X         28-1500      487
CYPRESS SEMICONDUCTOR
   CORP                   COM            232806109      15,249     1,300       X         28-5284     1300
                                                       618,171    52,700       X      X  28-5284      700     50000    2000
CYTEC INDS INC            COM            232820100      13,266       258       X         28-5284      258
                                                        57,385     1,116       X      X  28-5284      300        36     780
                                                        70,497     1,371       X      X  28-4580     1371
CYTOGEN CORP              COM NEW        232824300       2,304       200       X         28-5284      200
CYTRX CORP                COM NEW        232828301      17,500    12,500       X      X  28-1500    12500
D & K HEALTHCARE RES INC  COM            232861104      43,025     5,358       X         28-5284     5358
CYTYC CORP                COM            232946103      46,869     1,700       X         28-5284     1700
                                                        16,542       600       X      X  28-1500      600
DHB INDS INC              COM            23321E103      95,600     5,021       X      X  28-5284                       5021
DNP SELECT INCOME FD      COM            23325P104     938,426    78,727       X         28-5284    78727
                                                       333,784    28,002       X      X  28-5284    26248      1754
                                                       168,692    14,152       X         28-1500              14152
DPAC TECHNOLOGIES CORP    COM            233269109      51,500    50,000       X         28-5284    50000
                                                         1,751     1,700       X      X  28-5284               1700
0            COLUMN TOTAL                            2,600,461
0
0
0




1                                                               FILE NO. 28-1235
PAGE 50 OF 183                                                    AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- -------- --------- -------
                                                                                        
DPL INC                   COM            233293109     685,829    27,313       X         28-5284    27313
                                                       203,065     8,087       X      X  28-5284     6237      1850
                                                       376,650    15,000       X      X  28-1500    15000
                                                        15,066       600       X         28-4580      600
DRS TECHNOLOGIES INC      COM            23330X100       6,407       150       X      X  28-5284      150
D R HORTON INC            COM            23331A109     365,209     9,060       X         28-5284     9060
DST SYS INC DEL           COM            233326107      20,848       400       X         28-5284      400
                                                        10,424       200       X      X  28-5284      200
DTE ENERGY CO             COM            233331107     215,003     4,985       X         28-5284     4294               691
                                                       128,398     2,977       X      X  28-5284     2073       904
                                                        20,487       475       X      X  28-4580      475
DTF TAX-FREE INCOME INC   COM            23334J107      74,709     4,786       X         28-5284     4086               700
                                                         7,805       500       X      X  28-4580      500
DAILY JOURNAL CORP        COM            233912104      29,000       800       X         28-5284      800
DANA CORP                 COM            235811106      38,247     2,207       X         28-5284     2207
                                                        49,148     2,836       X      X  28-5284               2836
DANAHER CORP DEL          COM            235851102   6,095,277   106,171       X         28-5284    90926      2700   12545
                                                     5,460,552    95,115       X      X  28-5284    37612     44490   13013
                                                        33,298       580       X         28-4580      580
                                                        39,900       695       X      X  28-4580      695
DARDEN RESTAURANTS INC    COM            237194105   1,420,510    51,208       X         28-5284    51208
                                                       687,037    24,767       X      X  28-5284    23210       300    1257
                                                        33,288     1,200       X         28-1500               1200
DEAN FOODS CO NEW         COM            242370104     458,335    13,910       X         28-5284    13910
                                                       696,695    21,144       X      X  28-5284     2800      5844   12500
                                                        16,475       500       X         28-4580      500
                                                         8,897       270       X      X  28-4580      270
DEBT STRATEGIES FD INC
   NEW                    COM            24276Q109      53,592     7,656       X         28-5284     7656
                                                       141,267    20,181       X      X  28-5284    20181
                                                         9,800     1,400       X         28-4580     1400
0            COLUMN TOTAL                           17,401,218
0
0
0




1                                                               FILE NO. 28-1235
PAGE 51 OF 183                                                    AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- ------- --------- -------
                                                                                      
DECODE GENETICS INC       COM            243586104      11,715     1,500       X         28-5284    1500
                                                           781       100       X      X  28-1500     100
DECORATOR INDS INC        COM PAR $0.20  243631207       3,220       400       X      X  28-5284     400
DEERE & CO                COM            244199105   2,752,428    36,995       X         28-5284   36605       390
                                                     1,857,768    24,970       X      X  28-5284   14245      3750    6975
                                                        91,363     1,228       X      X  28-1500    1228
DEL MONTE FOODS CO        COM            24522P103   1,067,463    96,866       X         28-5284   84036     11494    1336
                                                     1,238,306   112,369       X      X  28-5284   58337     47343    6689
                                                        32,829     2,979       X         28-4580    2979
                                                       136,428    12,380       X      X  28-4580   12380
DELAWARE INV GLBL DIV &
   INC                    COM            245916101       8,799       700       X      X  28-5284     700
DELL INC                  COM            24702R101 110,481,809 2,621,780       X         28-5284 2489584     21512  110684
                                                    44,529,212 1,056,697       X      X  28-5284  761722    256653   38322
                                                       709,090    16,827       X         28-1500     365     16462
                                                     1,778,729    42,210       X         28-4580   41297               913
                                                     1,182,153    28,053       X      X  28-4580   24416      3260     377
DELPHI CORP               COM            247126105     246,165    27,291       X         28-5284   25947       120    1224
                                                       180,761    20,040       X      X  28-5284   11471      7183    1386
                                                         1,254       139       X         28-1500               139
                                                        14,252     1,580       X         28-4580    1580
                                                         2,138       237       X      X  28-4580     237
DELPHI FINL GROUP INC     CL A           247131105       1,615        35       X         28-5284      35
                                                         9,230       200       X      X  28-5284                       200
DELTA AIR LINES INC DEL   COM            247361108      19,448     2,600       X         28-5284    2600
                                                         2,244       300       X      X  28-5284     300
DELTA NAT GAS INC         COM            247748106      13,610       500       X         28-5284     500
                                                         9,527       350       X      X  28-5284     350
                                                        61,814     2,271       X         28-1500     517      1754
DELUXE CORP               COM            248019101      55,995     1,500       X         28-5284    1500
                                                        62,976     1,687       X      X  28-5284    1555       132
DENTSPLY INTL INC NEW     COM            249030107     196,700     3,500       X      X  28-5284    2500      1000
0            COLUMN TOTAL                          166,759,822
0
0
0




1                                                               FILE NO. 28-1235
PAGE 52 OF 183                                                    AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- ------- --------- -------
                                                                                        
DEUTSCHE TELEKOM AG       SPONSORED ADR  251566105      23,134     1,020       X      X  28-5284    1020
DEVELOPERS DIVERSIFIED
   RLTY                   COM            251591103     179,743     4,051       X         28-5284    3951       100
                                                       208,539     4,700       X      X  28-5284    2300      1400    1000
DEVON ENERGY CORP NEW     COM            25179M103     377,641     9,703       X         28-5284    8903               800
                                                       834,834    21,450       X      X  28-5284    5988     15462
                                                       152,177     3,910       X      X  28-1500    3910
DIAGEO P L C              SPON ADR NEW   25243Q205     104,473     1,805       X         28-5284    1805
                                                       144,700     2,500       X      X  28-5284    1500      1000
                                                       511,428     8,836       X      X  28-1500    8836
DIAGNOSTIC PRODS CORP     COM            252450101       5,230        95       X         28-5284      95
DIAMOND OFFSHORE DRILLING
   IN                     COM            25271C102      59,955     1,497       X         28-5284    1497
DIAMONDS TR               UNIT SER 1     252787106   6,307,074    58,665       X         28-5284   47189      7468    4008
                                                     6,722,493    62,529       X      X  28-5284   39245     22665     619
                                                        51,067       475       X      X  28-1500     475
DICKS SPORTING GOODS INC  COM            253393102      21,090       600       X         28-5284     600
                                                       391,220    11,130       X      X  28-5284   11130
                                                        10,545       300       X      X  28-1500     300
DIEBOLD INC               COM            253651103      56,733     1,018       X         28-5284    1018
                                                        66,876     1,200       X      X  28-5284    1200
                                                        28,980       520       X      X  28-1500     520
                                                        52,944       950       X      X  28-4580     950
DIGENE CORP               COM            253752109      31,380     1,200       X         28-5284    1200
                                                         5,230       200       X      X  28-5284     200
DIGITAL INSIGHT CORP      COM            25385P106      14,720       800       X         28-4580     800
DIGITAL RIV INC           COM            25388B104      20,805       500       X         28-5284     500
                                                       665,760    16,000       X      X  28-5284   16000
                                                        48,975     1,177       X         28-1500    1177
DIGITAS INC               COM            25388K104         172        18       X         28-5284      18
DIME CMNTY BANCSHARES     COM            253922108      80,595     4,500       X      X  28-5284                      4500
0            COLUMN TOTAL                           17,178,513
0
0
0




1                                                               FILE NO. 28-1235
PAGE 53 OF 183                                                    AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- ------- --------- -------
                                                                                      
DIME BANCORP INC NEW      *W EXP 99/99/9 25429Q110         626     3,297       X         28-5284    3197               100
                                                           504     2,650       X      X  28-5284     650      2000
DIONEX CORP               COM            254546104     104,216     1,839       X         28-5284              1839
                                                       848,633    14,975       X      X  28-5284   14000       975
DIRECT GEN CORP           COM            25456W204      16,050       500       X         28-5284     500
DIRECTV GROUP INC         COM            25459L106     302,458    18,068       X         28-5284   16866       111    1091
                                                       339,989    20,310       X      X  28-5284   11046      6858    2406
                                                         6,696       400       X      X  28-1500     400
                                                         3,716       222       X      X  28-4580     222
DISCOVERY LABORATORIES
   INC N                  COM            254668106      44,408     5,600       X      X  28-1500    5600
DISNEY WALT CO            COM DISNEY     254687106  67,618,496 2,432,320       X         28-5284 2106962     23625  301733
                                                    36,648,684 1,318,298       X      X  28-5284 1065267    214143   38888
                                                     3,723,337   133,933       X         28-1500  113931     20002
                                                       144,060     5,182       X         28-4580    5182
                                                       833,555    29,984       X      X  28-4580   26459      3525
DISTRIBUTED ENERGY SYS
   CORP                   COM            25475V104       2,250       900       X      X  28-5284     900
DIXON TICONDEROGA CO      COM            255860108      48,580     7,000       X         28-4580    7000
DOCUCORP INTL INC         COM            255911109       1,273       134       X      X  28-5284               134
DOLLAR GEN CORP           COM            256669102   1,016,235    48,928       X         28-5284   48339               589
                                                       458,124    22,057       X      X  28-5284   14057      8000
                                                        89,103     4,290       X         28-1500              4290
DOLLAR TREE STORES INC    COM            256747106       9,321       324       X         28-5284     200               124
                                                        23,016       800       X      X  28-5284     500       300
DOMINION RES BLACK
   WARRIOR T              UNITS BEN INT  25746Q108      75,810     2,100       X         28-5284    2100
DOMINION RES INC VA NEW   COM            25746U109  20,572,503   303,698       X         28-5284  267112     14227   22359
                                                    32,611,255   481,418       X      X  28-5284  305831    124356   51231
                                                       418,024     6,171       X      X  28-1500    6171
                                                       367,219     5,421       X         28-4580    5421
                                                       574,977     8,488       X      X  28-4580    6738              1750
0            COLUMN TOTAL                          166,903,118
0
0
0




1                                                               FILE NO. 28-1235
PAGE 54 OF 183                                                    AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- ------- --------- -------
                                                                                      
DONALDSON INC             COM            257651109   1,823,763    55,978       X         28-5284   25680             30298
                                                       246,305     7,560       X      X  28-1500    7560
DONNELLEY R R & SONS CO   COM            257867101     597,354    16,927       X         28-5284   12927      4000
                                                       656,570    18,605       X      X  28-5284    3700      8905    6000
                                                        42,348     1,200       X      X  28-1500    1200
DORAL FINL CORP           COM            25811P100     130,513     2,650       X      X  28-5284    1150      1500
                                                        68,950     1,400       X      X  28-1500    1400
                                                       443,250     9,000       X      X  28-4580    9000
DORCHESTER MINERALS LP    COM UNIT       25820R105      23,920     1,000       X      X  28-5284    1000
                                                        23,920     1,000       X         28-4580    1000
DOUBLECLICK INC           COM            258609304       6,224       800       X         28-5284     800
                                                           311        40       X      X  28-5284      40
                                                       243,950    31,356       X         28-1500   31356
DOVER CORP                COM            260003108  20,182,451   481,222       X         28-5284  347407      7450  126365
                                                     7,449,509   177,623       X      X  28-5284  138798     35225    3600
                                                       784,614    18,708       X         28-1500   18708
                                                       466,499    11,123       X      X  28-1500   11123
                                                       134,208     3,200       X         28-4580    3200
DOVER DOWNS GAMING &
   ENTMT I                COM            260095104      13,100     1,000       X         28-5284    1000
DOVER MOTORSPORTS INC     COM            260174107       5,730     1,000       X         28-5284    1000
DOW CHEM CO               COM            260543103  47,605,746   961,538       X         28-5284  876123     25795   59620
                                                    31,800,867   642,312       X      X  28-5284  397484    193450   51378
                                                       133,677     2,700       X         28-1500    2700
                                                       566,295    11,438       X      X  28-1500   11438
                                                       204,625     4,133       X         28-4580    4133
                                                       910,340    18,387       X      X  28-4580   18237       150
DOW JONES & CO INC        COM            260561105     280,622     6,517       X         28-5284    6517
                                                       744,938    17,300       X      X  28-5284   14850      2450
                                                        43,060     1,000       X         28-4580    1000
                                                        95,809     2,225       X      X  28-4580    2225
DREAMWORKS ANIMATION
   SKG INC                CL A           26153C103      41,261     1,100       X         28-5284    1100
DREMAN/CLAYMORE DIVID
   & INC                  COM            26153R100       3,760       200       X         28-5284     200
0            COLUMN TOTAL                          115,774,489
0
0
0




1                                                               FILE NO. 28-1235
PAGE 55 OF 183                                                    AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- ------- --------- -------
                                                                                      
DREYFUS STRATEGIC MUNS
   INC                    COM            261932107      31,971     3,797       X         28-5284    3797
                                                        50,731     6,025       X      X  28-5284    6025
DREYFUS N Y MUN INCOME
   INC                    COM            26201T108       6,279       700       X      X  28-5284               700
DREYFUS STRATEGIC MUN
   BD FD                  COM            26202F107      60,421     7,100       X         28-5284    7100
                                                       122,510    14,396       X      X  28-5284   14396
DU PONT E I DE NEMOURS
   & CO                   COM            263534109  71,958,753 1,467,049       X         28-5284 1361650     67803   37596
                                                   105,338,897 2,147,582       X      X  28-5284  954171    995729  197682
                                                       325,692     6,640       X      X  28-1500    6640
                                                    14,766,748   301,055       X         28-4580  299063              1992
                                                    44,574,531   908,757       X      X  28-4580  902645       772    5340
DUFF & PHELPS UTIL CORP
   BD T                   COM            26432K108     155,820    10,600       X         28-5284                     10600
                                                         5,336       363       X      X  28-5284               363
DUKE ENERGY CORP          COM            264399106  11,123,011   439,124       X         28-5284  396974      8600   33550
                                                     7,999,214   315,800       X      X  28-5284  124989    156610   34201
                                                        59,171     2,336       X         28-1500              2336
                                                        75,585     2,984       X         28-4580    2984
DUKE REALTY CORP          COM NEW        264411505   6,326,176   185,301       X         28-5284  165026      6725   13550
                                                     9,893,840   289,802       X      X  28-5284  179012     64390   46400
                                                        13,656       400       X      X  28-1500     400
                                                       112,833     3,305       X         28-4580    3305
                                                       106,858     3,130       X      X  28-4580    3130
DUN & BRADSTREET CORP
   DEL NE                 COM            26483E100     806,170    13,515       X         28-5284   12915               600
                                                       339,349     5,689       X      X  28-5284    4414      1275
                                                       115,303     1,933       X      X  28-4580    1933
DUQUESNE LT HLDGS INC     COM            266233105     298,791    15,851       X         28-5284   15142               709
                                                       384,634    20,405       X      X  28-5284   14727      3441    2237
                                                        56,550     3,000       X         28-4580    3000
DYNAMEX INC               COM            26784F103      50,031     2,700       X         28-5284    2700
DYNEGY INC NEW            CL A           26816Q101      36,498     7,900       X         28-5284    7900
                                                        51,744    11,200       X      X  28-5284   10200              1000
EMAK WORLDWIDE INC        COM            26861V104     162,850    16,285       X         28-1500   16285
0            COLUMN TOTAL                          275,409,953
0
0
0




1                                                               FILE NO. 28-1235
PAGE 56 OF 183                                                    AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- ------- --------- -------
                                                                                       
E M C CORP MASS           COM            268648102  11,239,490   755,850       X         28-5284  709473      9767   36610
                                                     4,523,409   304,197       X      X  28-5284  217613     76144   10440
                                                        93,161     6,265       X         28-1500              6265
                                                        69,294     4,660       X         28-4580    4660
                                                       369,073    24,820       X      X  28-4580   24820
ENSCO INTL INC            COM            26874Q100       9,712       306       X         28-5284     306
                                                           762        24       X      X  28-1500      24
ENI S P A                 SPONSORED ADR  26874R108     221,101     1,757       X         28-5284    1757
                                                        25,168       200       X      X  28-5284               200
                                                        39,640       315       X         28-4580     315
EOG RES INC               COM            26875P101  41,550,216   582,262       X         28-5284  555584      6487   20191
                                                    12,232,603   171,421       X      X  28-5284  116352     47154    7915
                                                        57,088       800       X         28-1500     800
                                                       729,371    10,221       X         28-4580   10221
                                                       135,584     1,900       X      X  28-4580    1080       820
E ON AG                   SPONSORED ADR  268780103       5,460        60       X         28-5284      60
ESB FINL CORP             COM            26884F102      41,789     2,892       X         28-5284    2892
                                                        69,620     4,818       X      X  28-5284                      4818
E TRADE FINANCIAL CORP    COM            269246104       1,495       100       X         28-5284     100
                                                        29,900     2,000       X      X  28-5284    2000
EAGLE MATERIALS INC       COM            26969P108         432         5       X         28-5284       5
                                                         4,318        50       X      X  28-5284      50
EAGLE MATERIALS INC       CL B           26969P207       1,433        17       X         28-5284      17
EARTHLINK INC             COM            270321102         956        83       X         28-5284      83
                                                       154,011    13,369       X         28-1500   13369
EASTERN AMERN NAT GAS TR  SPERS RCT UNIT 276217106      75,750     3,000       X      X  28-5284    3000
EASTGROUP PPTY INC        COM            277276101      52,690     1,375       X         28-5284    1375
EASTMAN CHEM CO           COM            277432100     223,992     3,880       X         28-5284    3880
                                                       564,426     9,777       X      X  28-5284    7290      2487
                                                        17,319       300       X         28-4580     300
                                                        88,500     1,533       X      X  28-4580    1533
0            COLUMN TOTAL                           72,627,763
0
0
0




1                                                               FILE NO. 28-1235
PAGE 57 OF 183                                                    AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- ------- --------- -------
                                                                                      
EASTMAN KODAK CO          COM            277461109     829,857    25,732       X         28-5284   24589       300     843
                                                     1,504,882    46,663       X      X  28-5284   34419     11269     975
                                                         3,225       100       X      X  28-1500     100
                                                        14,513       450       X         28-4580     450
                                                       117,068     3,630       X      X  28-4580    3630
                                                        99,975     3,100       X                    3100
EATON CORP                COM            278058102   1,598,432    22,090       X         28-5284   21890       200
                                                     3,009,742    41,594       X      X  28-5284   21694     19500     400
EATON VANCE MA MUNI
   INCOME T               SH BEN INT     27826E104      40,403     2,326       X         28-5284    2326
EATON VANCE NJ MUNI
   INCOME T               SH BEN INT     27826V106      27,125     1,750       X         28-5284    1750
EATON VANCE CORP          COM NON VTG    278265103       9,648       185       X         28-5284     185
EATON VANCE INS MUN BD FD COM            27827X101      75,379     5,563       X         28-5284    5563
                                                       116,801     8,620       X      X  28-5284    8620
EATON VANCE TAX ADVT
   DIV INC                COM            27828G107      21,670     1,000       X      X  28-5284              1000
EATON VANCE LTD DUR
   INCOME F               COM            27828H105       3,938       209       X         28-5284     209
                                                        39,922     2,119       X      X  28-5284    2119
EATON VANCE INS NJ
   MUN BD FD              COM            27828R103      80,580     5,100       X         28-5284    5100
                                                         3,223       204       X      X  28-5284     204
EATON VANCE TX ADV
   GLBL DIV               COM            27828S101      19,790     1,000       X      X  28-5284              1000
EATON VANCE INS PA
   MUN BD FD              COM            27828W102      16,420     1,000       X         28-5284    1000
EBAY INC                  COM            278642103   1,687,977    14,509       X         28-5284   14509
                                                     1,853,878    15,935       X      X  28-5284   11035      4700     200
                                                       132,628     1,140       X      X  28-1500    1140
                                                        37,927       326       X      X  28-4580      31               295
ECHOSTAR COMMUNICATIONS
   NEW                    CL A           278762109      36,442     1,096       X         28-5284    1096
                                                         3,658       110       X         28-1500     110
ECLIPSYS CORP             COM            278856109     131,712     6,447       X         28-5284    6447
ECOLAB INC                COM            278865100   8,027,310   228,503       X         28-5284  107733            120770
                                                     3,445,094    98,067       X      X  28-5284   24295     29852   43920
                                                        13,139       374       X      X  28-4580     374
0            COLUMN TOTAL                           23,002,358
0
0
0




1                                                               FILE NO. 28-1235
PAGE 58 OF 183                                                    AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- ------- --------- -------
                                                                                       
EDEN BIOSCIENCE CORP      COM            279445100      39,200    40,000       X      X  28-1500   40000
EDISON INTL               COM            281020107     118,255     3,692       X         28-5284    3692
                                                       139,234     4,347       X      X  28-5284    1404      2943
EDUCATION MGMT CORP       COM            28139T101   3,777,972   114,484       X         28-5284  114484
                                                         6,600       200       X      X  28-5284     200
EDWARDS LIFESCIENCES CORP COM            28176E108     109,256     2,648       X         28-5284    2191               457
                                                        62,839     1,523       X      X  28-5284    1443        80
                                                         4,126       100       X      X  28-1500     100
EL PASO CORP              COM            28336L109     157,352    15,130       X         28-5284   14930       200
                                                       142,355    13,688       X      X  28-5284    4186      9502
                                                        13,520     1,300       X      X  28-1500    1300
                                                         1,300       125       X         28-4580                       125
ELAN PLC                  ADR            284131208     283,318    10,397       X         28-5284   10397
                                                       216,202     7,934       X      X  28-5284    7834       100
ELECTRO SCIENTIFIC INDS   COM            285229100      13,832       700       X         28-5284     700
ELECTRONIC ARTS INC       COM            285512109  26,838,017   435,117       X         28-5284  417477      1180   16460
                                                     6,185,394   100,282       X      X  28-5284   67320     23490    9472
                                                       714,008    11,576       X         28-4580   11393               183
                                                       177,762     2,882       X      X  28-4580    2682       200
ELECTRONIC DATA SYS NEW   COM            285661104     516,955    22,379       X         28-5284   22379
                                                     1,372,972    59,436       X      X  28-5284   22143     36571     722
                                                       277,200    12,000       X      X  28-1500   12000
                                                         2,864       124       X         28-4580     124
                                                        14,207       615       X      X  28-4580     615
ELECTRONICS BOUTIQUE
   HLDGS C                COM            286045109       4,294       100       X      X  28-5284     100
                                                       190,911     4,446       X         28-1500    4446
ELECTRONICS FOR
   IMAGING INC            COM            286082102         435        25       X         28-5284      25
EMERGE INTERACTIVE INC    CL A           29088W103      13,515     8,500       X         28-5284    8500
0            COLUMN TOTAL                           41,393,895
0
0
0




1                                                               FILE NO. 28-1235
PAGE 59 OF 183                                                    AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- ------- --------- -------
                                                                                       
EMERSON ELEC CO           COM            291011104  51,979,641   741,507       X         28-5284  690955     21610   28942
                                                    49,627,365   707,951       X      X  28-5284  433337    223143   51471
                                                       236,588     3,375       X         28-1500              3375
                                                       412,398     5,883       X         28-4580    5883
                                                     2,107,416    30,063       X      X  28-4580   26954      2309     800
EMPIRE DIST ELEC CO       COM            291641108       6,804       300       X         28-5284     300
EMULEX CORP               COM NEW        292475209      18,187     1,080       X         28-5284    1080
                                                         2,273       135       X      X  28-5284     135
                                                        33,680     2,000       X      X  28-4580    2000
ENBRIDGE ENERGY PARTNERS
   L P                    COM            29250R106     244,958     4,750       X         28-5284    2750              2000
                                                       929,601    18,026       X      X  28-5284    6800     11226
ENCANA CORP               COM            292505104     405,982     7,115       X         28-5284    6915               200
                                                       151,038     2,647       X      X  28-5284    1247       600     800
ENCORE ACQUISITION CO     COM            29255W100      87,275     2,500       X         28-5284    2500
ENDESA S A                SPONSORED ADR  29258N107       2,909       125       X         28-5284     125
ENERGEN CORP              COM            29265N108      40,381       685       X         28-5284     685
                                                         2,830        48       X      X  28-5284      48
                                                       100,215     1,700       X      X  28-1500    1700
ENERGY CONVERSION
   DEVICES IN             COM            292659109      57,960     3,000       X      X  28-1500    3000
ENERGY EAST CORP          COM            29266M109     325,069    12,184       X         28-5284   12184
                                                       283,235    10,616       X      X  28-5284    5416      5200
ENERGIZER HLDGS INC       COM            29266R108      29,814       600       X         28-5284     600
                                                       915,190    18,418       X      X  28-5284   18418
ENERGY PARTNERS LTD       COM            29270U105       4,257       210       X         28-5284     210
                                                       101,350     5,000       X      X  28-5284    5000
ENERGY TRANSFER PRTNRS
   L P                    UNIT LTD PARTN 29273R109      35,520       600       X      X  28-5284     400       200
ENERPLUS RES FD           UNIT TR G NEW  29274D604     268,694     7,400       X         28-5284    7400
                                                       949,434    26,148       X      X  28-5284   23348      2800
0            COLUMN TOTAL                          109,360,064
0
0
0




1                                                               FILE NO. 28-1235
PAGE 60 OF 183                                                    AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- ------- --------- -------
                                                                                       
ENGELHARD CORP            COM            292845104     164,238     5,355       X         28-5284    2855              2500
                                                       116,975     3,814       X      X  28-5284    3450       364
ENGINEERED SUPPORT SYS
   INC                    COM            292866100     592,200    10,000       X      X  28-5284   10000
ENNIS INC                 COM            293389102      19,250     1,000       X         28-5284    1000
                                                        77,000     4,000       X         28-4580    4000
ENSTAR GROUP INC GA       COM            29358R107      62,500     1,000       X         28-5284    1000
ENTERASYS NETWORKS INC    COM            293637104       2,880     1,600       X      X  28-5284              1600
ENTERGY CORP NEW          COM            29364G103   7,741,015   114,529       X         28-5284  110504      2462    1563
                                                     6,616,993    97,899       X      X  28-5284   50045     34109   13745
                                                       419,058     6,200       X         28-4580    6050               150
                                                        57,452       850       X      X  28-4580     300               550
ENTERPRISE PRODS
   PARTNERS L             COM            293792107     173,184     6,697       X         28-5284    1991              4706
                                                       354,903    13,724       X      X  28-5284    7964      5760
ENTERTAINMENT PPTYS TR    COM SH BEN INT 29380T105       2,005        45       X         28-5284      45
ENVOY COMMUNICATIONS
   GROUP I                COM            293986105       2,318     3,800       X      X  28-1500    3800
EON LABS INC              COM            29412E100       5,400       200       X         28-5284     200
                                                        13,500       500       X      X  28-5284               500
EQUIFAX INC               COM            294429105   1,444,621    51,410       X         28-5284   51410
                                                       291,172    10,362       X      X  28-5284    7862      1000    1500
EQUINIX INC               COM NEW        29444U502     123,946     2,900       X         28-5284    2900
EQUITABLE RES INC         COM            294549100   2,354,093    38,808       X         28-5284   35950      1600    1258
                                                     2,633,554    43,415       X      X  28-5284   31212     12203
                                                        86,016     1,418       X      X  28-4580    1418
EQUITY INCOME FD          UT 1 EX SR-ATT 294700703     382,270     4,445       X         28-5284    4375        70
                                                       146,286     1,701       X      X  28-5284    1251       450
EQUITY INNS INC           COM            294703103      11,740     1,000       X         28-5284    1000
EQUITY OFFICE PROPERTIES
   TRU                    COM            294741103   2,766,167    94,992       X         28-5284   94642       350
                                                     5,393,403   185,213       X      X  28-5284  173063       350   11800
0            COLUMN TOTAL                           32,054,139
0
0
0




1                                                               FILE NO. 28-1235
PAGE 61 OF 183                                                    AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- ------- --------- -------
                                                                                       
EQUITY ONE                COM            294752100      16,018       675       X      X  28-5284     675
EQUITY RESIDENTIAL        SH BEN INT     29476L107      74,133     2,049       X         28-5284    2049
                                                       250,185     6,915       X      X  28-5284    4365      1550    1000
EQUITY RESIDENTIAL        PFD CONV E 7%  29476L883      11,814       300       X      X  28-5284     300
ERICSSON L M TEL CO       ADR B SEK 10   294821608     302,304     9,600       X         28-5284    9600
                                                        99,823     3,170       X      X  28-5284    2370       800
ERIE INDTY CO             CL A           29530P102   6,400,345   121,749       X         28-5284  121749
                                                    26,023,412   495,024       X      X  28-5284  495024
ESCALADE INC              COM            296056104       1,964       147       X         28-1500     147
ESCO TECHNOLOGIES INC     COM            296315104      15,330       200       X      X  28-5284     200
ESSEX PPTY TR INC         COM            297178105       4,190        50       X      X  28-5284      50
ETABLISSEMENTS DELHAIZE
   FRER                   SPONSORED ADR  29759W101       2,124        28       X         28-5284      28
                                                       355,054     4,681       X      X  28-5284    4681
ETHAN ALLEN INTERIORS INC COM            297602104     295,868     7,393       X         28-5284    7393
                                                         8,004       200       X      X  28-5284     200
EVERGREEN INCOME
   ADVANTAGE F            COM SHS        30023Y105      59,755     3,700       X         28-5284    3700
EVERGREEN MANAGED
   INCOME FD              COM SHS        30024Y104      73,560     4,000       X      X  28-5284    4000
EVERGREEN SOLAR INC       COM            30033R108       4,252       973       X      X  28-5284     973
EXACTECH INC              COM            30064E109      36,580     2,000       X         28-5284    2000
EXCEL TECHNOLOGY INC      COM            30067T103       1,430        55       X         28-5284      55
EXELON CORP               COM            30161N101  39,860,257   904,476       X         28-5284  866176     10994   27306
                                                    18,274,992   414,681       X      X  28-5284  263286    141065   10330
                                                       348,153     7,900       X      X  28-1500    7900
                                                       947,769    21,506       X         28-4580   21100               406
                                                       450,219    10,216       X      X  28-4580    6896      3320
EXPEDITORS INTL WASH INC  COM            302130109      13,970       250       X      X  28-5284     250
0            COLUMN TOTAL                           93,931,505
0
0
0




1                                                               FILE NO. 28-1235
PAGE 62 OF 183                                                    AS OF 12/31/04

     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
------------------------- -------------- --------- ------------- ---------- ------- ------ -------- -------- --------- -------
                                                                                         
EXPRESS SCRIPTS INC       COM            302182100        19,416        254       X         28-5284      254
                                                           7,644        100       X      X  28-5284      100
EXXON MOBIL CORP          COM            30231G102   630,022,871 12,290,731       X         28-5284 11106381    349707  834643
                                                     940,754,635 18,352,607       X      X  28-5284  6385955   3787355 8179297
                                                       1,806,351     35,239       X         28-1500      145     35094
                                                      15,530,499    302,975       X         28-4580   284452             18523
                                                      49,420,279    964,110       X      X  28-4580   879645     76175    8290
FEI CO                    COM            30241L109        10,500        500       X         28-5284      500
FLIR SYS INC              COM            302445101        17,861        280       X         28-5284      280
FMC TECHNOLOGIES INC      COM            30249U101        16,036        498       X         28-5284      498
                                                          17,935        557       X      X  28-5284      557
                                                          27,660        859       X      X  28-4580      859
F M C CORP                COM NEW        302491303        68,296      1,414       X         28-5284     1414
                                                          15,698        325       X      X  28-5284      325
FNB CORP PA               COM            302520101        80,239      3,941       X         28-5284     3941
                                                         250,347     12,296       X      X  28-5284     9296      3000
FNB FINANCIAL
   SERVICES CORP          COM            302526108     3,713,322    162,865       X         28-1500   162865
FPL GROUP INC             COM            302571104    27,103,154    362,584       X         28-5284   335853      5956   20775
                                                      37,020,461    495,257       X      X  28-5284   257792    156123   81342
                                                         550,833      7,369       X         28-4580     7369
                                                       1,177,014     15,746       X      X  28-4580    13016      1830     900
FACTSET RESH SYS INC      COM            303075105        64,284      1,100       X         28-5284     1100
FAIR ISAAC CORP           COM            303250104        10,160        277       X         28-5284      277
FAIRCHILD
   SEMICONDUCTOR INTL     COM            303726103        14,634        900       X         28-5284      900
FAIRMONT HOTELS
   RESORTS INC            COM            305204109        11,431        330       X         28-5284      330
FAMILY DLR STORES INC     COM            307000109       214,987      6,884       X         28-5284     5834              1050
                                                         252,963      8,100       X      X  28-5284     5000      3100
                                                           9,369        300       X      X  28-1500      300
0            COLUMN TOTAL                          1,708,208,879
0
0
0




1                                                               FILE NO. 28-1235
PAGE 63 OF 183                                                    AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- ------- --------- -------
                                                                                      
FARMERS CAP BK CORP       COM            309562106     214,240     5,200       X         28-5284    1000              4200
                                                        82,400     2,000       X         28-1500    2000
FARO TECHNOLOGIES INC     COM            311642102       4,677       150       X      X  28-5284     150
FEDERAL HOME LN MTG CORP  COM            313400301  75,110,692 1,019,141       X         28-5284  815360      3830  199951
                                                    18,447,773   250,309       X      X  28-5284  194795     46069    9445
                                                     4,380,802    59,441       X         28-1500   59441
                                                       383,240     5,200       X      X  28-1500    5200
                                                       624,976     8,480       X         28-4580    8480
                                                       216,825     2,942       X      X  28-4580    2642       300
FEDERAL NATL MTG ASSN     COM            313586109  66,802,813   938,110       X         28-5284  890083     29280   18747
                                                    47,162,098   662,296       X      X  28-5284  419977    182052   60267
                                                       264,403     3,713       X      X  28-1500    3713
                                                       692,090     9,719       X         28-4580    9719
                                                       518,551     7,282       X      X  28-4580    6082      1200
FEDERAL REALTY INVT TR    SH BEN INT NEW 313747206     592,684    11,475       X         28-5284   11475
                                                     1,657,603    32,093       X      X  28-5284   11500     20593
FEDERAL SIGNAL CORP       COM            313855108      19,673     1,114       X         28-5284    1114
FEDERATED DEPT STORES INC
   DE                     COM            31410H101     163,835     2,835       X         28-5284    2835
                                                        60,680     1,050       X      X  28-5284      50      1000
FEDERATED INVS INC PA     CL B           314211103      48,397     1,592       X         28-5284    1592
                                                        63,840     2,100       X      X  28-5284    2100
FEDERATED PREM MUN INC FD COM            31423P108     237,952    16,900       X         28-5284   16900
FEDEX CORP                COM            31428X106   1,801,185    18,288       X         28-5284   16888              1400
                                                     1,221,276    12,400       X      X  28-5284    9300      1900    1200
                                                        54,170       550       X      X  28-1500     550
                                                     1,132,635    11,500       X         28-4580   11500
FERRELLGAS PARTNERS L.P.  UNIT LTD PART  315293100      79,170     3,900       X         28-5284    3900
                                                        17,255       850       X      X  28-5284     850
                                                        81,200     4,000       X         28-4580    4000
FERRO CORP                COM            315405100      51,018     2,200       X         28-5284    2200
F5 NETWORKS INC           COM            315616102      61,631     1,265       X         28-1500    1235        30
0            COLUMN TOTAL                          222,249,784
0
0
0




1                                                               FILE NO. 28-1235
PAGE 64 OF 183                                                    AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- ------- --------- -------
                                                                                      
FIDELITY NATL FINL INC    COM            316326107     273,792     5,995       X         28-5284    5995
                                                     7,771,116   170,158       X      X  28-5284     800      2739  166619
FIFTH THIRD BANCORP       COM            316773100  46,114,378   974,934       X         28-5284  897620       515   76799
                                                     8,685,983   183,636       X      X  28-5284  143428     28391   11817
                                                     1,388,492    29,355       X         28-1500      47     29308
                                                        13,717       290       X         28-4580     290
FILENET CORP              COM            316869106      38,640     1,500       X      X  28-1500    1500
FINDWHAT COM              COM            317794105      26,595     1,500       X         28-5284    1500
FINISH LINE INC           CL A           317923100       9,150       500       X         28-5284     500
                                                           897        49       X         28-1500      49
FIRST ACCEPTANCE CORP     COM            318457108       1,792       200       X         28-5284     200
FIRST AMERN CORP CALIF    COM            318522307     101,309     2,883       X         28-5284    2883
                                                        70,280     2,000       X      X  28-5284    2000
FIRST BANCORP N C         COM            318910106      25,377       934       X         28-5284     934
FIRST CTZNS BANCSHARES
   INC N                  CL A           31946M103      44,475       300       X      X  28-5284     300
FIRST COMWLTH FINL CORP
   PA                     COM            319829107     541,666    35,196       X         28-5284   35196
                                                       260,029    16,896       X      X  28-5284   14420      2476
FIRST DATA CORP           COM            319963104  81,650,766 1,919,388       X         28-5284 1602133      8500  308755
                                                    17,761,726   417,530       X      X  28-5284  316987     82466   18077
                                                     4,853,857   114,101       X         28-1500  101640     12461
                                                        99,118     2,330       X         28-4580    2330
                                                        62,874     1,478       X      X  28-4580    1478
FIRST FINL BANKSHARES     COM            32020R109      56,013     1,250       X         28-5284    1250
FIRST FINL BANCORP OH     COM            320209109     273,910    15,652       X      X  28-5284   15652
                                                        87,500     5,000       X      X  28-1500    5000
FIRST FINL CORP IND       COM            320218100       5,009       143       X         28-1500     143
FIRST FINL SVC CORP       COM            32022D108     393,341    15,323       X         28-5284   15323
                                                       139,619     5,439       X         28-1500    5439
0            COLUMN TOTAL                          170,751,421
0
0
0




1                                                               FILE NO. 28-1235
PAGE 65 OF 183                                                    AS OF 12/31/04

     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 FRANKLIN CORP       COM            320272107   1,010,559    51,300       X         28-5284   51300
FIRST HORIZON
   PHARMACEUTICAL         COM            32051K106      11,445       500       X         28-5284     500
FIRST HORIZON NATL CORP   COM            320517105     148,730     3,450       X         28-5284    3250       200
                                                       204,773     4,750       X      X  28-5284    3250              1500
                                                       162,223     3,763       X      X  28-1500    3763
                                                       439,722    10,200       X                   10200
1ST INDEPENDENCE FINL GRP
   IN                     COM            32053S107      28,166     1,484       X         28-5284                      1484
FIRST INDUSTRIAL REALTY
   TRUS                   COM            32054K103      65,168     1,600       X         28-5284    1600
                                                        63,132     1,550       X      X  28-5284    1400       150
FIRST ISRAEL FD INC       COM            32063L100       7,660       500       X         28-5284     500
FIRST KEYSTONE FINL INC   COM            320655103       9,440       400       X         28-5284     400
FIRST MARBLEHEAD CORP     COM            320771108     562,500    10,000       X      X  28-5284   10000
FIRST MARINER BANCORP     COM            320795107   3,773,644   214,900       X         28-1500  214900
FIRST MIDWEST BANCORP DEL COM            320867104      36,290     1,000       X      X  28-5284              1000
FIRST HEALTH GROUP CORP   COM            320960107      18,710     1,000       X         28-5284    1000
                                                         3,742       200       X      X  28-5284     200
FIRST NATL BANKSHRS FL
   INC N                  COM            321100109     107,861     4,513       X         28-5284    4513
                                                       195,383     8,175       X      X  28-5284    5085      3090
                                                        27,150     1,136       X      X  28-4580    1136
FIRST NIAGARA FINL GP INC COM            33582V108      55,800     4,000       X      X  28-5284    4000
FIRST POTOMAC RLTY TR     COM            33610F109      21,090       925       X      X  28-1500     925
FIRST REGL BANCORP        COM            33615C101       1,242        23       X         28-5284                        23
FIRST REP BK SAN
   FRANCISCO              COM            336158100     143,100     2,700       X         28-5284    2700
FIRST TR VALUE LINE 100
   FD                     COM SHS        33735D104       9,405       550       X         28-5284     550
FIRST W VA BANCORP INC    COM            337493100      27,816     1,159       X         28-5284    1159
0            COLUMN TOTAL                            7,134,751
0
0
0




1                                                               FILE NO. 28-1235
PAGE 66 OF 183                                                    AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- ------- --------- -------
                                                                                        
FISERV INC                COM            337738108     471,188    11,724       X         28-5284   11724
                                                       233,102     5,800       X      X  28-5284    1700      4100
FLAGSTAR BANCORP INC      COM            337930101      67,800     3,000       X         28-5284    3000
FIRSTENERGY CORP          COM            337932107     561,911    14,222       X         28-5284   13622               600
                                                       670,761    16,977       X      X  28-5284    6848      8000    2129
                                                        11,853       300       X         28-4580     300
FISHER SCIENTIFIC INTL
   INC                    COM NEW        338032204      12,913       207       X         28-5284     207
                                                       230,556     3,696       X      X  28-5284    1576       800    1320
                                                         3,119        50       X      X  28-1500      50
FIVE STAR QUALITY CARE
   INC                    COM            33832D106          42         5       X         28-5284       5
                                                           254        30       X      X  28-5284      30
FLAHERTY & CRMN/CLYMR PFD
   SE                     COM SHS        338478100     265,382    10,207       X         28-5284   10207
                                                       148,720     5,720       X      X  28-5284    5200       520
FLAHERTY & CRMRN CLYMRE T
   R                      COM            338479108      29,760     1,200       X      X  28-5284                      1200
FLAHERTY & CRUMRINE PFD
   INC                    COM            33848E106      54,756     4,056       X         28-5284    4056
FLAHERTY & CRUMRINE PFD
   INC                    COM            338480106       3,650       200       X      X  28-5284               200
FLORIDA EAST COAST INDS   COM            340632108      19,438       431       X         28-5284     431
                                                        54,120     1,200       X      X  28-5284    1200
FLORIDA PUB UTILS CO      COM            341135101      57,450     3,000       X      X  28-1500    3000
FLORIDA ROCK INDS INC     COM            341140101      26,789       450       X         28-5284     450
                                                     1,608,798    27,025       X      X  28-5284   27025
FLUOR CORP NEW            COM            343412102     561,017    10,292       X         28-5284   10292
                                                       286,559     5,257       X      X  28-5284    1584      3673
FLOWSERVE CORP            COM            34354P105     118,422     4,300       X      X  28-1500    4300
FLYI INC                  COM            34407T104      19,028    10,750       X      X  28-5284   10750
FONAR CORP                COM            344437108      15,700    10,000       X      X  28-5284   10000
                                                           188       120       X      X  28-1500     120
0            COLUMN TOTAL                            5,533,276
0
0
0




1                                                               FILE NO. 28-1235
PAGE 67 OF 183                                                    AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- ------- --------- -------
                                                                                      
FOOD TECHNOLOGY SERVICE
   INC                    COM            344798103         381       300       X      X  28-5284               300
FOOT LOCKER INC           COM            344849104   1,258,978    46,750       X      X  28-5284    2000       900   43850
FORD MTR CO DEL           COM PAR $0.01  345370860   2,315,287   158,148       X         28-5284  149675      1922    6551
                                                     1,427,854    97,531       X      X  28-5284   53427     35482    8622
                                                         8,916       609       X         28-1500               609
                                                        88,060     6,015       X         28-4580    5316               699
                                                        74,342     5,078       X      X  28-4580    1981      2097    1000
FORD MTR CO CAP TR II     PFD TR CV6.5%  345395206     285,066     5,400       X         28-5284    5400
                                                     1,177,217    22,300       X      X  28-5284   18300      4000
FORDING CDN COAL TR       TR UNIT        345425102      25,074       325       X         28-5284     325
                                                       543,908     7,050       X      X  28-5284    5600      1450
FOREST CITY ENTERPRISES
   INC                    CL A           345550107      28,775       500       X         28-5284     500
FOREST LABS INC           COM            345838106     912,049    20,331       X         28-5284   19981       350
                                                       403,740     9,000       X      X  28-5284    4500      4500
                                                        80,748     1,800       X      X  28-1500    1800
                                                        10,766       240       X      X  28-4580     240
FORTUNE BRANDS INC        COM            349631101  60,984,703   790,162       X         28-5284  744833      8850   36479
                                                    51,457,990   666,727       X      X  28-5284  411735    122545  132447
                                                       212,091     2,748       X         28-1500     230      2518
                                                     2,147,379    27,823       X         28-4580   27639               184
                                                       228,221     2,957       X      X  28-4580    2148       730      79
FORTUNE BRANDS INC        PFD CV $2.67   349631200      47,700       100       X      X  28-5284     100
FORWARD AIR CORP          COM            349853101      11,622       260       X         28-5284     260
                                                       768,840    17,200       X      X  28-5284   17200
FOSSIL INC                COM            349882100     461,520    18,000       X      X  28-5284   18000
FOUNDRY NETWORKS INC      COM            35063R100      11,844       900       X         28-5284     900
FOX ENTMT GROUP INC       CL A           35138T107      84,715     2,710       X         28-5284    2710
                                                        31,260     1,000       X      X  28-5284    1000
FRANKLIN RES INC          COM            354613101   1,234,964    17,731       X         28-5284   16831               900
                                                     1,376,772    19,767       X      X  28-5284   11767      7800     200
0            COLUMN TOTAL                          127,700,782
0
0
0




1                                                               FILE NO. 28-1235
PAGE 68 OF 183                                                    AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- ------- --------- -------
                                                                                        
FRANKLIN TEMPLETON LTD    COM            35472T101      13,012       890       X         28-5284     890
   DUR I                                                29,240     2,000       X      X  28-1500    2000
FREDS INC                 CL A           356108100      13,050       750       X      X  28-5284               750
FREEPORT-MCMORAN COPPER   CL B           35671D857     171,920     4,497       X         28-5284    4048               449
   & GO                                                101,310     2,650       X      X  28-5284    2150       500
FREESCALE SEMICONDUCTOR   COM CL A       35687M107      23,843     1,338       X      X  28-5284    1338
   INC
FREESCALE SEMICONDUCTOR   CL B           35687M206   1,607,326    87,545       X         28-5284   80104       656    6785
   INC                                               1,833,980    99,890       X      X  28-5284   78994     18407    2489
                                                           312        17       X         28-1500      17
                                                        23,666     1,289       X      X  28-1500    1289
                                                        24,456     1,332       X         28-4580    1332
                                                        17,038       928       X      X  28-4580     901        27
FREMONT GEN CORP          COM            357288109      25,180     1,000       X      X  28-5284    1000
                                                     8,714,798   346,100       X         28-1500  346100
FREQUENCY ELECTRS INC     COM            358010106       2,970       200       X      X  28-1500     200
FRESENIUS MED CARE AG     SPONSORED ADR  358029106       8,951       334       X      X  28-5284               334
FRIEDMAN BILLINGS RAMSEY  CL A           358434108     255,948    13,200       X         28-5284   13200
   GRO
                                                        42,464     2,190       X      X  28-5284              2190
FUELCELL ENERGY INC       COM            35952H106      14,850     1,500       X         28-5284    1500
                                                        31,056     3,137       X      X  28-5284    3137
FULLER H B CO             COM            359694106      28,510     1,000       X         28-5284    1000
FULTON FINL CORP PA       COM            360271100     472,237    20,259       X         28-5284   20259
                                                     2,008,856    86,180       X      X  28-5284   15232     70948
                                                        51,399     2,205       X         28-4580    2205
FURNITURE BRANDS INTL INC COM            360921100      25,050     1,000       X         28-5284    1000
GATX CORP                 COM            361448103       7,390       250       X         28-5284     250
                                                        13,184       446       X      X  28-5284     446
GP STRATEGIES CORP        COM            36225V104         231        31       X         28-5284      31
0            COLUMN TOTAL                           15,562,227
0
0
0




1                                                               FILE NO. 28-1235
PAGE 69 OF 183                                                    AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- ------- --------- -------
                                                                                       
GSI COMMERCE INC          COM            36238G102     177,800    10,000       X         28-5284   10000
GABELLI GLOBAL MULTIMEDIA COM            36239Q109      12,154     1,138       X         28-5284    1138
   TR                                                    4,272       400       X      X  28-5284     400
GABELLI EQUITY TR INC     COM            362397101     281,938    31,257       X         28-5284   31257
                                                        84,851     9,407       X      X  28-5284    4764      4643
GABELLI UTIL TR           COM            36240A101      28,300     3,043       X         28-5284    3043
                                                        24,757     2,662       X      X  28-5284     262      2400
GABLES RESIDENTIAL TR     SH BEN INT     362418105      78,738     2,200       X      X  28-5284    1900       300
GABELLI DIVD & INCOME TR  COM            36242H104     107,700     6,000       X      X  28-5284    5000              1000
                                                        35,900     2,000       X         28-4580    2000
GALLAGHER ARTHUR J & CO   COM            363576109      91,000     2,800       X      X  28-5284    2800
GALLAHER GROUP PLC        SPONSORED ADR  363595109   3,151,335    51,908       X         28-5284   50308       200    1400
                                                    11,334,800   186,704       X      X  28-5284  169366     16938     400
                                                        69,938     1,152       X         28-4580    1152
GAMESTOP CORP             COM CL B       36466R200      10,353       462       X         28-5284     462
                                                        62,748     2,800       X      X  28-5284    1294      1506
                                                         5,446       243       X      X  28-4580     243
GANNETT INC               COM            364730101  60,950,161   746,024       X         28-5284  654443      8700   82881
                                                    28,019,832   342,960       X      X  28-5284  185564    111536   45860
                                                     1,977,549    24,205       X         28-1500   24205
                                                       637,750     7,806       X      X  28-1500    7806
                                                       615,201     7,530       X         28-4580    7530
                                                       949,681    11,624       X      X  28-4580   11524       100
GAP INC DEL               COM            364760108     153,542     7,270       X         28-5284    7270
                                                       215,910    10,223       X      X  28-5284    1723      2800    5700
GARDNER DENVER INC        COM            365558105       5,226       144       X      X  28-5284     144
GARTNER INC               CL B           366651206       7,300       594       X         28-5284     594
                                                        10,127       824       X      X  28-5284     304       520
                                                        12,364     1,006       X      X  28-4580    1006
0            COLUMN TOTAL                          109,116,673
0
0
0




1                                                               FILE NO. 28-1235
PAGE 70 OF 183                                                    AS OF 12/31/04

     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
------------------------- -------------- --------- ------------- ---------- ------- ------ -------- -------- --------- -------
                                                                                         
GATEWAY INC               COM            367626108        27,646      4,600       X         28-5284     4600
                                                           6,010      1,000       X      X  28-5284     1000
GAYLORD ENTMT CO NEW      COM            367905106        62,295      1,500       X      X  28-1500     1500
GEN-PROBE INC NEW         COM            36866T103        36,168        800       X      X  28-5284      800
GENENTECH INC             COM NEW        368710406       397,630      7,304       X         28-5284     7304
                                                         449,130      8,250       X      X  28-5284     5750       500    2000
                                                           2,722         50       X      X  28-1500       50
GENERAL AMERN INVS
   INC                    COM            368802104         6,609        211       X         28-5284        4               207
                                                          62,640      2,000       X      X  28-5284     2000
GENERAL DYNAMICS CORP     COM            369550108    10,329,041     98,748       X         28-5284    90043       225    8480
                                                       8,050,330     76,963       X      X  28-5284    39288     13225   24450
                                                           5,230         50       X         28-4580       50
                                                          31,380        300       X      X  28-4580      300
GENERAL ELEC CO           COM            369604103   650,570,051 17,823,837       X         28-5284 16245681    518780 1059376
                                                     747,788,093 20,487,345       X      X  28-5284 11335021   5609417 3542907
                                                       5,012,290    137,323       X         28-1500    17752    119571
                                                      16,970,858    464,955       X         28-4580   461986              2969
                                                      16,690,830    457,283       X      X  28-4580   420325     34378    2580
GENERAL GROWTH PPTYS      COM            370021107       812,407     22,467       X         28-5284    22467
   INC                                                   875,434     24,210       X      X  28-5284    24210
                                                          81,468      2,253       X         28-1500               2253
                                                          16,236        449       X      X  28-4580       37               412
GENERAL MLS INC           COM            370334104    12,186,953    245,161       X         28-5284   229561      5700    9900
                                                      20,164,215    405,637       X      X  28-5284   286908     57353   61376
                                                          53,737      1,081       X      X  28-1500     1081
                                                          94,449      1,900       X         28-4580     1900
                                                         412,593      8,300       X      X  28-4580     7300       600     400
GENERAL MTRS CORP         COM            370442105     8,679,400    216,660       X         28-5284   203064      8297    5299
                                                       9,492,217    236,950       X      X  28-5284   123854     94244   18852
                                                          59,489      1,485       X         28-1500               1485
                                                         267,320      6,673       X         28-4580     6473               200
                                                         499,148     12,460       X      X  28-4580    12460
GENERAL MTRS CORP         DEB SR CONV A  370442741        50,180      2,000       X         28-5284     2000
0            COLUMN TOTAL                          1,510,244,199
0
0
0




1                                                               FILE NO. 28-1235
PAGE 71 OF 183                                                    AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- ------- --------- -------
                                                                                        
GENEREX BIOTECHNOLOGY CP
   DEL                    COM            371485103       3,750    5,000        X         28-5284    5000
GENESEE & WYO INC         CL A           371559105      54,010    1,920        X         28-5284    1920
                                                       161,748    5,750        X      X  28-5284     750              5000
GENESIS HEALTHCARE CORP   COM            37184D101      14,012      400        X         28-5284     400
GENESYS S A               SP ADR REP 1/2 37185M100         378      472        X         28-5284     472
GENTEX CORP               COM            371901109      11,106      300        X         28-5284     300
                                                        24,063      650        X      X  28-5284     650
                                                        23,989      648        X         28-1500     648
GENESIS ENERGY L P        UNIT LTD PARTN 371927104      12,600    1,000        X         28-5284    1000
GENTA INC                 COM NEW        37245M207       3,520    2,000        X         28-5284    2000
                                                         2,112    1,200        X      X  28-5284    1200
GENTEK INC                COM NEW        37245X203          90        2        X         28-5284       2
GENVEC INC                COM            37246C109       5,216    3,200        X         28-5284    3200
GENUINE PARTS CO          COM            372460105   1,729,135   39,245        X         28-5284   39245
                                                     3,835,423   87,050        X      X  28-5284   24208     60817    2025
                                                       178,443    4,050        X      X  28-1500    4050
                                                       290,796    6,600        X      X  28-4580    6600
GENWORTH FINL INC         COM CL A       37247D106      27,000    1,000        X      X  28-5284    1000
GENZYME CORP              COM GENL DIV   372917104   1,460,751   25,155        X         28-5284   20155              5000
                                                       283,382    4,880        X      X  28-5284    3680       800     400
                                                        13,937      240        X      X  28-1500     240
GEORGIA GULF CORP         COM PAR $0.01  373200203       9,960      200        X         28-5284     200
GEORGIA PAC CORP          COM            373298108     394,552   10,527        X         28-5284    9727               800
                                                     2,782,515   74,240        X      X  28-5284   53574     20666
GERDAU AMERISTEEL CORP    COM            37373P105      54,080    8,000        X      X  28-5284    8000
GERBER SCIENTIFIC INC     COM            373730100      25,684    3,375        X      X  28-5284    3375
0            COLUMN TOTAL                           11,402,252
0
0
0




1                                                               FILE NO. 28-1235
PAGE 72 OF 183                                                    AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- ------- --------- -------
                                                                                      
GERMAN AMERN BANCORP      COM            373865104      49,701     3,087       X         28-5284    3087
                                                         5,635       350       X         28-1500     350
GERON CORP                COM            374163103       9,564     1,200       X         28-5284    1200
GETTY IMAGES INC          COM            374276103      72,293     1,050       X         28-5284    1050
                                                         2,410        35       X      X  28-5284      35
GETTY RLTY CORP NEW       COM            374297109       6,033       210       X      X  28-5284     210
GIBRALTAR INDS INC        COM            374689107       3,543       150       X      X  28-5284     150
GILEAD SCIENCES INC       COM            375558103     767,051    21,922       X         28-5284   21922
                                                       321,033     9,175       X      X  28-5284    8175      1000
                                                        20,994       600       X      X  28-1500     600
                                                        31,491       900       X         28-4580     900
GILLETTE CO               COM            375766102  48,426,077 1,081,422       X         28-5284  843767      6272  231383
                                                    16,641,054   371,618       X      X  28-5284  323223     41565    6830
                                                     2,671,127    59,650       X         28-1500   51478      8172
                                                       206,525     4,612       X         28-4580    4612
                                                       470,190    10,500       X      X  28-4580   10500
GLADSTONE CAPITAL CORP    COM            376535100      11,850       500       X      X  28-5284               500
GLADSTONE COML CORP       COM            376536108      17,100     1,000       X         28-5284    1000
GLATFELTER                COM            377316104  47,589,988 3,114,528       X         28-5284 2845914    268614
                                                    31,156,149 2,039,015       X      X  28-5284 1460837    541178   37000
GLAXOSMITHKLINE PLC       SPONSORED ADR  37733W105  18,976,520   400,433       X         28-5284  385515      2789   12129
                                                    32,870,415   693,615       X      X  28-5284  474732    189113   29770
                                                        58,621     1,237       X         28-1500              1237
                                                       130,417     2,752       X         28-4580    2752
                                                       550,482    11,616       X      X  28-4580   11616
GLENAYRE TECHNOLOGIES INC COM            377899109       8,175     3,750       X         28-5284    1500              2250
                                                           654       300       X      X  28-5284     300
GLENBOROUGH RLTY TR INC   COM            37803P105     134,064     6,300       X         28-5284    6300
0            COLUMN TOTAL                          201,209,156
0
0
0




1                                                               FILE NO. 28-1235
PAGE 73 OF 183                                                    AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- ------- --------- -------
                                                                                       
GLIMCHER RLTY TR          SH BEN INT     379302102     155,037    5,595        X         28-5284    5095               500
                                                       113,611    4,100        X      X  28-5284    3900       200
                                                       155,176    5,600        X      X  28-1500    5600
GLOBAL HIGH INCOME DLR FD
   IN                     COM            37933G108      20,580    1,050        X         28-5284    1050
                                                        26,656    1,360        X      X  28-1500    1360
GLOBAL PMTS INC           COM            37940X102       2,634       45        X         28-5284      45
GLOBECOMM SYSTEMS INC     COM            37956X103      47,925    7,500        X      X  28-5284              7500
GOLD BANC CORP INC        COM            379907108      72,486    4,958        X         28-5284                      4958
GOLD FIELDS LTD NEW       SPONSORED ADR  38059T106      48,410    3,879        X         28-5284    3579               300
GOLDCORP INC NEW          COM            380956409       8,422      560        X         28-5284     560
                                                        22,560    1,500        X      X  28-5284     500      1000
GOLDEN WEST FINL CORP DEL COM            381317106     986,712   16,065        X         28-5284   15985        80
                                                     1,073,007   17,470        X      X  28-5284   13290      3000    1180
GOLDMAN SACHS GROUP INC   COM            38141G104  33,346,693  320,518        X         28-5284  301025       745   18748
                                                     9,182,050   88,255        X      X  28-5284   64625     21340    2290
                                                        20,808      200        X      X  28-1500     200
                                                       774,786    7,447        X         28-4580    7254               193
                                                       493,878    4,747        X      X  28-4580    2738      1950      59
GOODRICH CORP             COM            382388106       6,528      200        X         28-5284     200
                                                         6,528      200        X      X  28-5284     200
GOODYEAR TIRE & RUBR CO   COM            382550101      18,208    1,242        X         28-5284    1242
                                                        73,974    5,046        X      X  28-5284    1018      4028
GOOGLE INC                CL A           38259P508      98,323      510        X         28-5284     510
                                                        40,486      210        X      X  28-5284     100       100      10
                                                        19,279      100        X         28-4580     100
GORMAN RUPP CO            COM            383082104      43,125    1,875        X         28-5284                      1875
GRACE W R & CO DEL NEW    COM            38388F108      12,426      913        X      X  28-5284               913
GRACO INC                 COM            384109104      93,375    2,500        X         28-5284    2500
                                                       526,635   14,100        X      X  28-5284   14100
0            COLUMN TOTAL                           47,490,318
0
0
0




1                                                               FILE NO. 28-1235
PAGE 74 OF 183                                                    AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- ------- --------- -------
                                                                                       
GRAINGER W W INC          COM            384802104   1,915,458    28,752       X         28-5284   25258              3494
                                                       841,411    12,630       X      X  28-5284    6630      2400    3600
                                                       293,128     4,400       X      X  28-4580    4400
GRANT PRIDECO INC         COM            38821G101      12,872       642       X      X  28-5284               642
GREAT LAKES CHEM CORP     COM            390568103      40,313     1,415       X         28-5284                      1415
                                                        26,496       930       X      X  28-5284     755               175
                                                        34,188     1,200       X         28-1500    1200
GREAT NORTHN IRON ORE
   PPTYS                  CTFS BEN INT   391064102      11,115        95       X         28-5284      95
GREAT PLAINS ENERGY INC   COM            391164100     772,503    25,512       X         28-5284   22712              2800
                                                       196,820     6,500       X      X  28-5284    5000      1500
                                                        10,083       333       X         28-4580     333
GREATER BAY BANCORP       COM            391648102     111,520     4,000       X      X  28-5284              4000
                                                     9,546,112   342,400       X         28-1500  342400
GREATER CHINA FD INC      COM            39167B102      23,625     1,500       X      X  28-5284    1500
GREEN MTN COFFEE ROASTERS
   IN                     COM            393122106       5,020       200       X      X  28-5284     200
GREEN MOUNTAIN PWR CORP   COM            393154109       1,096        38       X         28-5284      38
GREIF INC                 CL A           397624107       3,248        58       X         28-5284      58
GREY GLOBAL GROUP INC     COM            39787M108     192,498       175       X      X  28-5284     175
GROUPE DANONE             SPONSORED ADR  399449107      46,690     2,532       X         28-5284     132              2400
GROUPE CGI INC            CL A SUB VTG   39945C109       5,344       800       X         28-5284     800
GRUPO TELEVISA SA DE CV   SP ADR REP ORD 40049J206      12,100       200       X         28-5284     200
GTECH HLDGS CORP          COM            400518106       2,621       101       X      X  28-4580      18                83
GUIDANT CORP              COM            401698105   8,844,940   122,676       X         28-5284  100295       100   22281
                                                     2,386,943    33,106       X      X  28-5284   18350      9550    5206
                                                       259,560     3,600       X      X  28-1500    3600
                                                        29,633       411       X         28-4580     411
0            COLUMN TOTAL                           25,625,337
0
0
0




1                                                               FILE NO. 28-1235
PAGE 75 OF 183                                                    AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- ------- --------- -------
                                                                                        
H & Q LIFE SCIENCES INVS  SH BEN INT     404053100      80,264     5,064       X         28-5284    5064
                                                        16,880     1,065       X      X  28-5284    1065
HCA INC                   COM            404119109   1,903,575    47,637       X         28-5284   46834               803
                                                       306,333     7,666       X      X  28-5284    5866      1650     150
                                                        79,920     2,000       X         28-1500              2000
                                                        39,960     1,000       X         28-4580    1000
HNI CORP                  COM            404251100     202,335     4,700       X         28-5284    4700
                                                     1,146,508    26,632       X      X  28-5284   26632
HRPT PPTYS TR             COM SH BEN INT 40426W101      98,791     7,700       X         28-5284    7700
                                                        39,773     3,100       X      X  28-5284    1500      1600
HSBC HLDGS PLC            SPON ADR NEW   404280406   3,953,306    46,433       X         28-5284   44898              1535
                                                     1,170,930    13,753       X      X  28-5284   10197      3556
                                                       121,410     1,426       X      X  28-4580    1426
HAEMONETICS CORP          COM            405024100       7,242       200       X      X  28-5284               200
HAGGAR CORP               COM            405173105       3,525       150       X      X  28-5284     150
HALLIBURTON CO            COM            406216101   4,110,625   104,756       X         28-5284  102631       650    1475
                                                     3,775,594    96,218       X      X  28-5284   57158     37110    1950
                                                         3,924       100       X      X  28-1500     100
                                                        12,361       315       X         28-4580     315
JOHN HANCOCK BK &THRIFT
   OPP                    SH BEN INT     409735107      66,024     6,119       X         28-5284    6119
HANCOCK FABRICS INC       COM            409900107       3,422       330       X      X  28-5284     330
                                                            41         4       X      X  28-1500       4
HANCOCK JOHN INCOME SECS
   TR                     COM            410123103      14,112       900       X      X  28-5284     900
HANCOCK JOHN PATRIOT
   GLOBL D                COM            41013G103      24,046     1,709       X      X  28-5284    1709
HANCOCK JOHN PATRIOT PREM
   DI                     COM            41013Q101     228,000    22,800       X         28-5284   22800
                                                       389,220    38,922       X      X  28-5284   38922
HANCOCK JOHN PATRIOT PREM
   II                     COM SH BEN INT 41013T105       5,755       500       X      X  28-5284     500
HANCOCK JOHN TAX-ADV DIV
   INC                    COM            41013V100      28,262     1,571       X         28-5284    1571
                                                        26,985     1,500       X      X  28-5284             1500
0            COLUMN TOTAL                           17,859,123
0
0
0




1                                                               FILE NO. 28-1235
PAGE 76 OF 183                                                    AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- ------- --------- -------
                                                                                      
HANCOCK JOHN PFD INCOME
   FD I                   COM            41013X106      36,054     1,433       X         28-5284    1433
HANCOCK JOHN FINL TRENDS
   FD                     COM            41014X105     122,430     7,000       X         28-5284    7000
HANCOCK JOHN INVS TR      COM            410142103      13,476       600       X         28-5284     600
HANCOCK JOHN PFD INCOME
   FD I                   COM            41021P103      10,174       448       X      X  28-5284     448
HANDLEMAN CO DEL          COM            410252100       6,444       300       X         28-5284     300
HANOVER CAP MTG HLDGS INC COM            410761100      17,140     1,587       X         28-5284    1587
                                                        10,800     1,000       X      X  28-5284              1000
HANOVER COMPRESSOR CO     COM            410768105      28,260     2,000       X         28-5284    2000
HANSON PLC NEW            SPONSORED ADR  411349103       3,864        90       X         28-5284      90
                                                         9,101       212       X      X  28-5284      25               187
HARBOR FLA BANCSHARES INC COM            411901101      28,034       810       X         28-5284     810
                                                         8,653       250       X      X  28-5284               250
HARKEN ENERGY CORP        COM NEW        412552309         127       244       X         28-5284     244
                                                           260       500       X      X  28-5284     500
HARLEY DAVIDSON INC       COM            412822108  32,302,172   531,723       X         28-5284  345833      1670  184220
                                                     8,490,116   139,755       X      X  28-5284  120115     13990    5650
                                                     1,751,119    28,825       X         28-1500   23997      4828
                                                        33,473       551       X         28-4580     551
HARLEYSVILLE GROUP INC    COM            412824104      15,038       630       X         28-5284     630
                                                       121,116     5,074       X      X  28-5284     650      4424
HARLEYSVILLE NATL CORP PA COM            412850109      23,887       898       X         28-5284     898
                                                     1,726,127    64,892       X      X  28-5284   64892
HARMAN INTL INDS INC      COM            413086109     134,620     1,060       X         28-5284    1060
                                                       355,600     2,800       X      X  28-5284    2800
HARRAHS ENTMT INC         COM            413619107     148,496     2,220       X         28-5284    2220
                                                         3,411        51       X      X  28-4580       3                48
HARRIS CORP DEL           COM            413875105     213,176     3,450       X         28-5284    3450
                                                       160,654     2,600       X      X  28-5284    2600
0            COLUMN TOTAL                           45,773,822
0
0
0




1                                                               FILE NO. 28-1235
PAGE 77 OF 183                                                    AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- ------- --------- -------
                                                                                         
HARSCO CORP               COM            415864107   1,209,614    21,701       X         28-5284   21701
                                                       222,960     4,000       X      X  28-5284    4000
HARTE-HANKS INC           COM            416196103      64,950     2,500       X         28-5284    2500
HARTFORD FINL SVCS GROUP
   INC                    COM            416515104     852,998    12,307       X         28-5284   11798               509
                                                     1,135,852    16,388       X      X  28-5284   12245      3743     400
                                                        10,466       151       X         28-4580     151
HASBRO INC                COM            418056107       9,109       470       X         28-5284     470
                                                        46,512     2,400       X      X  28-5284    2400
HAWAIIAN ELEC INDUSTRIES  COM            419870100      66,462     2,280       X         28-5284    2280
                                                       107,855     3,700       X      X  28-5284    3300       400
HEALTHCARE SVCS GRP INC   COM            421906108       2,084       100       X         28-5284     100
HEALTH CARE PPTY INVS INC COM            421915109     788,667    28,482       X         28-5284   28082       400
                                                     1,059,807    38,274       X      X  28-5284    8274     30000
                                                       160,602     5,800       X      X  28-1500    5800
HEALTH MGMT ASSOC INC NEW CL A           421933102      64,570     2,842       X         28-5284    2842
                                                        98,264     4,325       X      X  28-1500    4325
HEALTHCARE RLTY TR        COM            421946104     297,232     7,303       X         28-5284    7303
                                                       103,175     2,535       X      X  28-5284    1985       550
                                                         3,460        85       X      X  28-1500      85
                                                        11,193       275       X         28-4580     275
HEADWATERS INC            COM            42210P102      31,350     1,100       X         28-5284     500       600
                                                       621,300    21,800       X      X  28-5284   21500       300
                                                        11,400       400       X      X  28-1500     400
HEALTH CARE REIT INC      COM            42217K106     379,593     9,950       X         28-5284    9400               550
                                                        11,445       300       X      X  28-5284               300
                                                        27,468       720       X      X  28-1500     720
HEALTH NET INC            COM            42222G108      28,870     1,000       X         28-5284    1000
HEARTLAND EXPRESS INC     COM            422347104      38,244     1,702       X         28-4580    1702
HECLA MNG CO              COM            422704106     180,730    31,000       X      X  28-5284   31000
0            COLUMN TOTAL                            7,646,232
0
0
0




1                                                               FILE NO. 28-1235
PAGE 78 OF 183                                                    AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- ------- --------- -------
                                                                                      
HEINZ H J CO              COM            423074103  29,392,884   753,857       X         28-5284  705557     27566   20734
                                                    25,435,360   652,356       X      X  28-5284  367919    250205   34232
                                                        76,420     1,960       X         28-1500              1960
                                                       928,937    23,825       X         28-4580   23825
                                                     1,976,715    50,698       X      X  28-4580   50598       100
HENRY JACK & ASSOC INC    COM            426281101       4,978       250       X         28-5284     250
HERCULES INC              COM            427056106      46,035     3,100       X         28-5284    3100
                                                        71,874     4,840       X      X  28-5284    3340      1500
                                                        32,729     2,204       X         28-4580    2204
                                                       143,347     9,653       X      X  28-4580    9653
HERITAGE PPTY INVT TR INC COM            42725M107      16,045       500       X         28-5284     500
HERSHEY FOODS CORP        COM            427866108  21,370,348   384,774       X         28-5284  329854             54920
                                                    15,034,956   270,705       X      X  28-5284  230085     36120    4500
                                                        40,378       727       X      X  28-1500     727
                                                        55,540     1,000       X         28-4580    1000
HEWITT ASSOCS INC         COM            42822Q100      12,804       400       X         28-5284     400
                                                        32,010     1,000       X      X  28-5284              1000
HEWLETT PACKARD CO        COM            428236103  21,566,282 1,028,435       X         28-5284  904346     66575   57514
                                                    24,120,575 1,150,242       X      X  28-5284  724253    283435  142554
                                                        16,797       801       X         28-1500     801
                                                        20,970     1,000       X      X  28-1500    1000
                                                     1,056,699    50,391       X         28-4580   50391
                                                     3,003,428   143,225       X      X  28-4580   52230      1195   89800
HIBERNIA CORP             CL A           428656102     251,720     8,530       X         28-5284    6530              2000
                                                        94,432     3,200       X      X  28-5284    3200
HIGHVELD STL & VANADIUM
   LTD                    ADR            431232206      41,000     5,000       X      X  28-5284    5000
HIGHWOODS PPTYS INC       COM            431284108     100,108     3,614       X         28-5284    3614
                                                       127,420     4,600       X      X  28-5284    4600
HILB ROGAL & HOBBS CO     COM            431294107       3,262        90       X         28-5284      90
                                                     1,692,589    46,705       X      X  28-5284                     46705
0            COLUMN TOTAL                          146,766,642
0
0
0




1                                                               FILE NO. 28-1235
PAGE 79 OF 183                                                    AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- ------- --------- -------
                                                                                      
HILLENBRAND INDS INC      COM            431573104  15,360,476   276,566       X         28-5284   29566            247000
                                                       122,188     2,200       X      X  28-5284     400              1800
                                                         9,164       165       X      X  28-1500     165
HILTON HOTELS CORP        COM            432848109     175,098     7,700       X         28-5284    7700
                                                       310,901    13,672       X      X  28-5284   13672
HINES HORTICULTURE INC    COM            433245107      68,800    20,000       X      X  28-5284                     20000
HITACHI LIMITED           ADR 10 COM     433578507      20,829       300       X      X  28-5284     300
HOME DEPOT INC            COM            437076102 127,679,254 2,987,348       X         28-5284 2503050     25638  458660
                                                    51,937,990 1,215,208       X      X  28-5284  848806    189150  177252
                                                     7,119,159   166,569       X         28-1500  144196     22373
                                                       917,842    21,475       X         28-4580   21475
                                                       526,087    12,309       X      X  28-4580   11549       760
                                                     2,607,140    61,000       X                   61000
HOME PROPERTIES INC       COM            437306103      51,600     1,200       X         28-5284    1200
                                                        12,900       300       X      X  28-5284                       300
HONDA MOTOR LTD           AMERN SHS      438128308      75,652     2,903       X         28-5284    2903
                                                        59,938     2,300       X      X  28-5284     700      1600
HONEYWELL INTL INC        COM            438516106   8,721,023   246,287       X         28-5284  142194       200  103893
                                                     3,290,368    92,922       X      X  28-5284   59702     31060    2160
                                                         6,374       180       X         28-1500     180
                                                       258,741     7,307       X      X  28-1500    7307
                                                        28,328       800       X         28-4580     800
                                                       466,987    13,188       X      X  28-4580   13188
HOPFED BANCORP INC        COM            439734104      14,313       837       X         28-1500     837
HORMEL FOODS CORP         COM            440452100       6,740       215       X         28-5284     215
                                                        84,645     2,700       X      X  28-1500    2700
HOSPITALITY PPTYS TR      COM SH BEN INT 44106M102      97,704     2,124       X         28-5284    2124
                                                       162,610     3,535       X      X  28-5284    2885       650
HOSPIRA INC               COM            441060100   3,157,275    94,247       X         28-5284   80056       850   13341
                                                     6,043,903   180,415       X      X  28-5284  150373     28695    1347
                                                       117,485     3,507       X      X  28-1500    3507
                                                         7,538       225       X         28-4580     225
                                                        74,102     2,212       X      X  28-4580    2167        45
0            COLUMN TOTAL                          229,593,154
0
0
0




1                                                               FILE NO. 28-1235
PAGE 80 OF 183                                                    AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- ------- --------- -------
                                                                                       
HOST MARRIOTT CORP NEW    COM            44107P104      18,805     1,087       X         28-5284    1087
HOUSTON EXPL CO           COM            442120101   1,233,189    21,900       X      X  28-5284   21900
HOVNANIAN ENTERPRISES INC CL A           442487203       6,933       140       X         28-5284     140
                                                        19,808       400       X      X  28-5284     400
HUANENG PWR INTL INC      SPON ADR N     443304100      24,016       800       X      X  28-5284     800
HUBBELL INC               CL A           443510102     283,099     5,854       X         28-5284    5854
                                                         9,672       200       X      X  28-5284     200
HUBBELL INC               CL B           443510201     906,254    17,328       X         28-5284    2226             15102
                                                       365,002     6,979       X      X  28-5284    5707              1272
                                                       245,810     4,700       X      X  28-1500    4700
HUDSON CITY BANCORP       COM            443683107     220,920     6,000       X      X  28-5284              6000
HUDSON HIGHLAND GROUP INC COM            443792106       8,640       300       X         28-5284     300
HUDSON UNITED BANCORP     COM            444165104     499,811    12,692       X      X  28-5284    6206      6486
HUGHES SUPPLY INC         COM            444482103     132,635     4,100       X      X  28-5284    4100
HUGOTON RTY TR TEX        UNIT BEN INT   444717102      26,200     1,000       X         28-5284    1000
HUMANA INC                COM            444859102     708,552    23,865       X         28-5284   23865
                                                        52,254     1,760       X      X  28-5284    1760
HUMAN GENOME SCIENCES INC COM            444903108      50,484     4,200       X         28-5284    4200
                                                       142,100    11,822       X         28-1500   11822
HUNT J B TRANS SVCS INC   COM            445658107      50,546     1,127       X         28-5284    1127
                                                       605,475    13,500       X      X  28-5284   13500
HUNTINGTON BANCSHARES INC COM            446150104   1,949,759    78,810       X         28-5284   78810
                                                       412,540    16,675       X      X  28-5284   16675
                                                         1,014        41       X         28-1500      41
                                                        32,434     1,311       X         28-4580    1311
                                                       453,509    18,331       X      X  28-4580   18331
HUTCHINSON TECHNOLOGY INC COM            448407106       6,914       200       X      X  28-5284     200
0            COLUMN TOTAL                            8,466,375
0
0
0




1                                                               FILE NO. 28-1235
PAGE 81 OF 183                                                    AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- ------- --------- -------
                                                                                        

HUTTIG BLDG PRODS INC     COM            448451104       6,343       607       X         28-5284     607
IDT CORP                  CL B           448947309       3,096       200       X      X  28-5284     200
IAC INTERACTIVECORP       COM            44919P102      29,968     1,085       X         28-5284    1085
IAC INTERACTIVECORP       *W EXP 02/04/2 44919P128       1,495        50       X      X  28-5284      50
ICT GROUP INC             COM            44929Y101      14,567     1,500       X         28-5284    1500
ICOS CORP                 COM            449295104       8,484       300       X         28-5284     300
                                                        28,280     1,000       X      X  28-1500    1000
ICU MED INC               COM            44930G107      27,340     1,000       X         28-5284    1000
ID BIOMEDICAL CORP        COM            44936D108      14,950     1,000       X         28-5284    1000
IDX SYS CORP              COM            449491109      51,690     1,500       X      X  28-5284    1500
IFC CAP TR III            PFD CV TR SECS 449498203      74,000     2,000       X      X  28-5284    2000
IHOP CORP                 COM            449623107      18,851       450       X         28-5284     450
ING PRIME RATE TR         SH BEN INT     44977W106      28,050     3,750       X         28-5284    3750
                                                         7,480     1,000       X         28-4580                      1000
ING CLARION REAL EST
   INCOME                 COM SHS        449788108      26,112     1,600       X         28-5284    1600
ING CLARION GLB RE EST
   INCM                   COM            44982G104      28,899     1,900       X         28-5284    1900
IMS HEALTH INC            COM            449934108   1,204,761    51,907       X         28-5284   46588              5319
                                                       535,408    23,068       X      X  28-5284   14520      8280     268
                                                       152,072     6,552       X      X  28-4580    6552
ISTAR FINL INC            COM            45031U101     181,040     4,000       X         28-5284    4000
                                                       706,056    15,600       X      X  28-5284    8500      7100
IXIA                      COM            45071R109      67,240     4,000       X      X  28-5284              4000
0            COLUMN TOTAL                            3,216,182
0
0
0




1                                                               FILE NO. 28-1235
PAGE 82 OF 183                                                    AS OF 12/31/04

     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  42,476,492   502,978       X         28-5284  476758      2730   23490
                                                    14,111,595   167,100       X      X  28-5284  101757     51493   13850
                                                        67,476       799       X      X  28-1500     799
                                                       873,551    10,344       X         28-4580    9746               598
                                                       394,804     4,675       X      X  28-4580    4205       470
ICICI BK LTD              ADR            45104G104      20,150     1,000       X         28-5284    1000
ICORIA INC                COM            451045108         247       380       X      X  28-5284               380
IDACORP INC               COM            451107106      63,891     2,090       X         28-5284    2090
                                                         9,996       327       X      X  28-5284     327
IGATE CORP                COM            45169U105   2,113,290   521,800       X         28-5284  521800
IKON OFFICE SOLUTIONS INC COM            451713101       4,566       395       X         28-5284      95       300
IDENTIX INC               COM            451906101       5,609       760       X         28-5284     760
                                                       227,097    30,772       X         28-1500   29472      1300
ILLINOIS TOOL WKS INC     COM            452308109  61,896,894   667,856       X         28-5284  645606      8310   13940
                                                    28,470,647   307,193       X      X  28-5284  183546    102844   20803
                                                       188,418     2,033       X      X  28-1500    2033
                                                     1,660,548    17,917       X         28-4580   17545               372
                                                     1,997,995    21,558       X      X  28-4580   20933       625
IMATION CORP              COM            45245A107       6,621       208       X         28-5284     158                50
                                                        57,676     1,812       X      X  28-5284    1537       275
                                                        21,740       683       X      X  28-4580     683
IMAX CORP                 COM            45245E109      82,490    10,000       X         28-5284   10000
IMCLONE SYS INC           COM            45245W109      15,299       332       X         28-5284     332
IMAGISTICS INTERNATIONAL
   INC                    COM            45247T104     104,548     3,106       X         28-5284    2690               416
                                                     1,161,741    34,514       X      X  28-5284   33440      1074
                                                           269         8       X      X  28-1500       8
                                                         4,847       144       X         28-4580     144
IMMUNOGEN INC             COM            45253H101      17,680     2,000       X      X  28-5284    2000
IMPAC MTG HLDGS INC       COM            45254P102      22,670     1,000       X      X  28-1500    1000
0            COLUMN TOTAL                          156,078,847
0
0
0




1                                                               FILE NO. 28-1235
PAGE 83 OF 183                                                    AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- ------- --------- -------
                                                                                        
IMPERIAL CHEM INDS PLC    ADR NEW        452704505      19,923     1,081       X      X  28-4580    1081
IMPERIAL OIL LTD          COM NEW        453038408      21,080       355       X         28-5284     355
                                                       605,676    10,200       X      X  28-5284   10200
IMPERIAL TOBACCO GROUP
   PLC                    SPONSORED ADR  453142101      49,725       900       X         28-5284     900
                                                        20,719       375       X      X  28-5284                       375
IMPLANT SCIENCES CORP     COM            45320R108       2,925       300       X         28-5284     300
INAMED CORP               COM            453235103      31,625       500       X         28-5284     500
INCO LTD                  COM            453258402      40,826     1,110       X         28-5284    1110
                                                       119,167     3,240       X      X  28-5284    3240
INCYTE CORP               COM            45337C102       1,998       200       X         28-5284     200
                                                         9,990     1,000       X      X  28-1500    1000
INDEPENDENCE CMNTY BK
   CORP                   COM            453414104      25,548       600       X         28-5284     600
INDEPENDENT BANK CORP
   MASS                   COM            453836108      20,250       600       X         28-5284     600
                                                        33,750     1,000       X      X  28-5284    1000
INDYMAC BANCORP INC       COM            456607100      20,670       600       X         28-5284     300       300
                                                       316,940     9,200       X      X  28-5284    4000      3200    2000
INFOSPACE INC             COM NEW        45678T201      23,775       500       X         28-5284     500
INFOSYS TECHNOLOGIES LTD  SPONSORED ADR  456788108      22,179       320       X         28-5284     320
                                                       218,327     3,150       X      X  28-5284    2500       300     350
                                                        20,793       300       X      X  28-1500     300
ING GROUP N V             SPONSORED ADR  456837103      35,362     1,169       X         28-5284    1169
                                                        60,500     2,000       X      X  28-5284    2000
INGLES MKTS INC           CL A           457030104       7,806       630       X         28-1500     630
INKINE PHARMACEUTICALS
   INC                    COM            457214104      17,376     3,200       X      X  28-5284     200              3000
INNKEEPERS USA TR         COM            4576J0104       1,704       120       X      X  28-1500     120
INPUT/OUTPUT INC          COM            457652105     121,108    13,700       X      X  28-5284   13700
0            COLUMN TOTAL                            1,869,742
0
0
0




1                                                               FILE NO. 28-1235
PAGE 84 OF 183                                                    AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- ------- --------- -------
                                                                                      
INSITE VISION INC         COM            457660108       8,800    10,000       X      X  28-5284   10000
INSITUFORM TECHNOLOGIES
   INC                    CL A           457667103       2,630       116       X         28-5284     116
INSMED INC                COM NEW        457669208       7,384     3,358       X      X  28-5284              3358
INSIGHT COMMUNICATIONS
   INC                    CL A           45768V108       4,635       500       X         28-5284     500
INNOVATIVE SOLUTIONS &
   SUPPO                  COM            45769N105     102,048     3,059       X      X  28-5284    3059
INSPIRE PHARMACEUTICALS
   INC                    COM            457733103      16,770     1,000       X         28-5284    1000
INSTEEL INDUSTRIES INC    COM            45774W108       3,721       206       X         28-1500     206
INSURANCE AUTO AUCTIONS
   INC                    COM            457875102      11,210       500       X         28-5284     500
INTEGRA LIFESCIENCES
   HLDGS C                COM NEW        457985208      11,079       300       X      X  28-5284     300
INSURED MUN INCOME FD     COM            45809F104      19,950     1,500       X      X  28-5284              1500
INTEGRA BK CORP           COM            45814P105      25,467     1,102       X         28-5284    1102
                                                       149,868     6,485       X         28-1500    6485
INTELIDATA TECHNOLOGIES
   CORP                   COM            45814T107      22,110    33,000       X         28-5284   33000
INTEL CORP                COM            458140100 132,073,576 5,646,583       X         28-5284 5302473     97755  246355
                                                   132,713,410 5,673,938       X      X  28-5284 4079832   1177525  416581
                                                       648,464    27,724       X         28-1500    2724     25000
                                                     2,352,309   100,569       X         28-4580  100369               200
                                                     3,014,971   128,900       X      X  28-4580  122850      6050
INTER TEL INC             COM            458372109       5,476       200       X         28-5284     200
INTERACTIVE DATA CORP     COM            45840J107      10,870       500       X      X  28-5284               500
INTERDIGITAL
   COMMUNICATIONS         COM            45866A105      11,050       500       X         28-5284     500
                                                       144,379     6,533       X      X  28-5284     200      6333
INTERMAGNETICS GEN CORP   COM            458771102      10,774       424       X         28-5284               424
                                                        63,525     2,500       X      X  28-5284    2500
INTERMIX MEDIA INC        COM            45881X106       2,825       500       X      X  28-1500     500
0            COLUMN TOTAL                          271,437,301
0
0
0




1                                                               FILE NO. 28-1235
PAGE 85 OF 183                                                    AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- ------- --------- -------
                                                                                     
INTERMUNE INC             COM            45884X103      13,260     1,000       X         28-4580    1000
INTERNATIONAL BUSINESS
   MACHS                  COM            459200101 194,288,266 1,970,869       X         28-5284 1711937     26347  232585
                                                   239,197,272 2,426,428       X      X  28-5284  994973    418715 1012740
                                                     1,208,985    12,264       X         28-1500    5357      6907
                                                     4,472,673    45,371       X         28-4580   44930               441
                                                     8,650,395    87,750       X      X  28-4580   85863      1820      67
INTERNATIONAL
   FLAVORS&FRAGRA         COM            459506101     186,140     4,345       X         28-5284    3745               600
                                                       177,957     4,154       X      X  28-5284     300      3854
                                                        13,409       313       X      X  28-1500     313
INTERNATIONAL GAME
   TECHNOLOG              COM            459902102   2,298,853    66,866       X         28-5284   44736             22130
                                                       127,206     3,700       X      X  28-5284    3700
                                                       649,644    18,896       X         28-1500   18896
                                                        36,099     1,050       X      X  28-1500    1050
                                                        61,884     1,800       X         28-4580    1800
                                                         2,372        69       X      X  28-4580      12                57
INTL PAPER CO             COM            460146103  31,835,706   757,993       X         28-5284  724548      9645   23800
                                                    13,225,968   314,904       X      X  28-5284  204425     90885   19594
                                                     1,180,578    28,109       X         28-4580   27456               653
                                                       551,334    13,127       X      X  28-4580   10977      2150
INTERNATIONAL RECTIFIER
   CORP                   COM            460254105     267,420     6,000       X         28-5284    6000
INTERNET CAP GROUP INC    COM NEW        46059C205     420,930    46,770       X         28-5284   46770
                                                            90        10       X      X  28-5284      10
INTERNET HOLDRS TR        DEPOSIT RCPT   46059W102      85,572     1,200       X      X  28-5284    1200
INTERNET SEC SYS INC      COM            46060X107      34,178     1,470       X         28-1500    1470
INTERPUBLIC GROUP COS INC COM            460690100     825,440    61,600       X         28-5284   59900              1700
                                                       731,640    54,600       X      X  28-5284   54600
INTERSTATE HOTELS &
   RESRTS I               COM            46088S106     404,894    75,540       X         28-5284   75540
INTERVEST BANCSHARES CORP CL A           460927106      39,478     2,000       X      X  28-5284              2000
                                                     5,321,634   269,600       X         28-1500  269600
INTEST CORP               COM            461147100      12,951     2,950       X         28-5284    2950
0            COLUMN TOTAL                          506,322,228
0
0
0




1                                                               FILE NO. 28-1235
PAGE 86 OF 183                                                    AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- ------- --------- -------
                                                                                        
INTIER AUTOMOTIVE INC     CL A           46115N104     411,450    13,000       X      X  28-5284   13000
INTUITIVE SURGICAL INC    COM NEW        46120E602      10,005       250       X         28-5284     250
                                                        40,020     1,000       X      X  28-5284    1000
                                                        18,009       450       X      X  28-1500     450
INTUIT                    COM            461202103     105,448     2,396       X         28-5284    2396
                                                       118,827     2,700       X      X  28-5284    2700
                                                        88,020     2,000       X      X  28-1500    2000
INVESTORS FINL SERVICES
   CORP                   COM            461915100     209,916     4,200       X      X  28-5284              4200
IONICS INC                COM            462218108     225,368     5,200       X         28-5284    5200
IRELAND BK                SPONSORED ADR  46267Q103       2,002        30       X         28-5284      30
IRON MTN INC PA           COM            462846106     218,308     7,160       X         28-5284    7160
                                                        64,791     2,125       X      X  28-5284    2125
IRWIN FINL CORP           COM            464119106     204,408     7,200       X         28-5284    7200
                                                    11,259,474   396,600       X         28-1500  396600
ISHARES INC               MSCI AUSTRALIA 464286103      15,397       922       X         28-5284     922
ISHARES INC               MSCI AUSTRIA   464286202     112,798     4,900       X         28-5284    4900
ISHARES INC               MSCI BRAZIL    464286400     227,738    10,240       X         28-5284   10240
ISHARES INC               MSCI CDA INDEX 464286509       8,645       500       X         28-5284     500
ISHARES INC               MSCI EMU INDEX 464286608   3,593,700    49,500       X         28-5284   49500
                                                       283,140     3,900       X      X  28-5284     400      3500
                                                        25,410       350       X      X  28-1500     350
                                                       210,540     2,900       X         28-4580    2900
                                                     1,096,260    15,100       X      X  28-4580   14200       700     200
ISHARES INC               MSCI PAC J IDX 464286665  17,385,047   192,803       X         28-5284  189794       100    2909
                                                     1,088,983    12,077       X      X  28-5284   12077
                                                       576,186     6,390       X         28-4580    6390
                                                     3,101,848    34,400       X      X  28-4580   27000      5800    1600
ISHARES INC               MSCI SINGAPORE 464286673      57,360     8,000       X         28-5284    8000
                                                        29,397     4,100       X      X  28-5284    4100
0            COLUMN TOTAL                           40,788,495
0
0
0




1                                                               FILE NO. 28-1235
PAGE 87 OF 183                                                    AS OF 12/31/04

     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 TAIWAN    464286731     216,477    17,950       X         28-5284   17950
                                                        29,547     2,450       X      X  28-5284    2450
ISHARES INC               MSCI SWITZERLD 464286749      17,200     1,000       X         28-5284    1000
ISHARES INC               MSCI S KOREA   464286772     298,350    10,200       X         28-5284   10200
                                                        29,250     1,000       X      X  28-5284    1000
ISHARES INC               MSCI MEXICO    464286822     125,800     5,000       X         28-5284    5000
ISHARES INC               MSCI MALAYSIA  464286830      28,958     4,050       X      X  28-5284    4050
                                                        10,010     1,400       X      X  28-1500    1400
ISHARES INC               MSCI JAPAN     464286848  10,824,319   991,238       X         28-5284  989185      2053
                                                     8,772,003   803,297       X      X  28-5284  507528    275669   20100
                                                        31,668     2,900       X      X  28-1500    2900
                                                       707,922    64,828       X         28-4580   64828
                                                     2,453,768   224,704       X      X  28-4580  174604     40100   10000
ISHARES INC               MSCI HONG KONG 464286871     265,738    21,980       X         28-5284   21980
                                                        24,180     2,000       X      X  28-4580    2000
ISHARES TR                S&P 100 IDX FD 464287101   3,030,570    52,779       X         28-5284   34750             18029
                                                       270,735     4,715       X      X  28-5284    4715
ISHARES TR                DJ SEL DIV INX 464287168  20,799,557   338,755       X         28-5284  336731      1713     311
                                                    10,568,229   172,121       X      X  28-5284  144891     27230
                                                        18,420       300       X      X  28-4580     300
ISHARES TR                US TIPS BD FD  464287176     467,045     4,414       X         28-5284    4414
                                                       253,838     2,399       X      X  28-5284    2399
ISHARES TR                FTSE XNHUA IDX 464287184     657,320    11,850       X         28-5284   11650               200
                                                       208,013     3,750       X      X  28-5284    2500      1250
                                                        31,951       576       X      X  28-4580      96               480
ISHARES TR                S&P 500 INDEX  464287200  87,258,787   721,147       X         28-5284  694111     10448   16588
                                                    20,539,266   169,746       X      X  28-5284  114440     46352    8954
                                                       254,342     2,102       X      X  28-1500    2102
                                                     2,219,987    18,347       X         28-4580   18347
                                                     1,859,649    15,369       X      X  28-4580   15369
0            COLUMN TOTAL                          172,272,899
0
0
0




1                                                               FILE NO. 28-1235
PAGE 88 OF 183                                                    AS OF 12/31/04

     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                LEHMAN AGG BND 464287226   1,635,635    15,973       X         28-5284   15973
                                                     2,028,442    19,809       X      X  28-5284   19809
ISHARES TR                MSCI EMERG MKT 464287234   2,881,812    14,277       X         28-5284   12867       124    1286
                                                     2,589,130    12,827       X      X  28-5284    9161      2979     687
                                                       181,463       899       X      X  28-4580     633               266
ISHARES TR                GS CORP BD FD  464287242   4,631,172    41,524       X         28-5284   40294       325     905
                                                     1,261,404    11,310       X      X  28-5284    5163      6147
ISHARES TR                S&P GBL INF    464287291      44,281       860       X         28-5284     350       510
                                                        30,894       600       X      X  28-5284               600
ISHARES TR                S&P500/BAR GRW 464287309  18,336,087   317,508       X         28-5284  317508
                                                     2,973,201    51,484       X      X  28-5284   43698      7128     658
                                                       227,708     3,943       X         28-4580    3943
ISHARES TR                S&P GBL HLTHCR 464287325       5,413       110       X         28-5284     110
                                                       246,050     5,000       X      X  28-4580    5000
ISHARES TR                S&P GBL FIN    464287333      13,390       200       X         28-5284     200
ISHARES TR                GS NAT RES IDX 464287374   9,200,934    70,081       X         28-5284   69981       100
                                                       312,470     2,380       X      X  28-5284    1880       500
                                                       730,235     5,562       X         28-4580    5412               150
                                                     5,159,697    39,300       X      X  28-4580   27900      9900    1500
ISHARES TR                S&P500/BAR VAL 464287408  26,171,033   416,206       X         28-5284  325881       325   90000
                                                     2,496,210    39,698       X      X  28-5284   32658      6867     173
                                                       233,788     3,718       X         28-4580    3718
                                                       301,824     4,800       X      X  28-4580    2000              2800
ISHARES TR                7-10 YR TRS BD 464287440      71,443       841       X         28-5284     841
                                                       326,293     3,841       X      X  28-5284    1590      2251
                                                       212,375     2,500       X      X  28-1500    2500
ISHARES TR                1-3 YR TRS BD  464287457     190,058     2,334       X         28-5284    2334
                                                        48,695       598       X      X  28-5284     295       303
                                                        81,430     1,000       X      X  28-1500    1000
0            COLUMN TOTAL                           82,622,567
0
0
0




1                                                               FILE NO. 28-1235
PAGE 89 OF 183                                                    AS OF 12/31/04

     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  83,519,255   521,181       X         28-5284  497557      3379   20245
                                                    29,427,349   183,634       X      X  28-5284  141948     33945    7741
                                                     1,481,511     9,245       X         28-4580    9245
                                                     1,363,247     8,507       X      X  28-4580    7455       600     452
ISHARES TR                RUSSELL MCP VL 464287473   6,824,667    60,497       X         28-5284   59586       225     686
                                                     1,489,430    13,203       X      X  28-5284   11657      1303     243
                                                       328,503     2,912       X         28-4580    2912
                                                       160,529     1,423       X      X  28-4580    1423
ISHARES TR                RUSSELL MCP GR 464287481   7,303,504    86,432       X         28-5284   85619       180     633
                                                     1,389,687    16,446       X      X  28-5284   14602       983     861
                                                       101,654     1,203       X         28-4580    1203
ISHARES TR                RUSSELL MIDCAP 464287499  10,123,460   127,612       X         28-5284  124048       485    3079
                                                     4,203,300    52,985       X      X  28-5284   38545     14440
                                                         3,967        50       X         28-4580      50
ISHARES TR                S&P MIDCAP 400 464287507   9,852,680    74,461       X         28-5284   70165              4296
                                                     5,385,821    40,703       X      X  28-5284   22906     16619    1178
                                                        33,874       256       X         28-4580     256
                                                         5,293        40       X      X  28-4580      40
ISHARES TR                GLMN SCHS SOFT 464287515      12,795       300       X         28-5284     300
                                                        89,565     2,100       X      X  28-5284    2100
                                                        25,590       600       X      X  28-1500     600
ISHARES TR                GLDM SCHS SEMI 464287523     545,317    10,136       X         28-5284   10136
                                                       177,379     3,297       X      X  28-5284    2265      1032
                                                        14,526       270       X         28-4580     270
ISHARES TR                GLDM SCHS NETW 464287531      78,754     2,600       X         28-5284    2600
ISHARES TR                GLDM SACHS TEC 464287549     186,933     4,002       X         28-5284    4002
                                                       292,918     6,271       X      X  28-5284    1271      5000
ISHARES TR                NASDQ BIO INDX 464287556   2,790,177    37,005       X         28-5284   34255              2750
                                                       689,081     9,139       X      X  28-5284    6840       499    1800
                                                         7,540       100       X      X  28-1500     100
0            COLUMN TOTAL                          167,908,306
0
0
0




1                                                               FILE NO. 28-1235
PAGE 90 OF 183                                                    AS OF 12/31/04

     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                COHEN&ST RLTY  464287564   8,325,133    61,075       X         28-5284   59123      1527     425
                                                     1,376,458    10,098       X      X  28-5284    7223      2775     100
                                                       119,135       874       X         28-4580     874
                                                        32,987       242       X      X  28-4580     242
ISHARES TR                S&P GLB100INDX 464287572      31,857       518       X         28-5284     518
                                                        31,181       507       X      X  28-5284               300     207
ISHARES TR                DJ US CON CYCL 464287580      22,212       363       X         28-5284     363
ISHARES TR                RUSSELL1000VAL 464287598  24,409,691   367,782       X         28-5284  270332             97450
                                                     3,732,450    56,237       X      X  28-5284   50660      5577
                                                       258,445     3,894       X         28-4580    3894
                                                        69,290     1,044       X      X  28-4580    1044
ISHARES TR                S&P MIDCP GROW 464287606   6,226,214    46,326       X         28-5284   44094       400    1832
                                                     2,788,800    20,750       X      X  28-5284   14332      4049    2369
                                                       107,117       797       X         28-4580     797
                                                       169,344     1,260       X      X  28-4580    1260
ISHARES TR                RUSSELL1000GRW 464287614  23,618,344   480,536       X         28-5284  423636             56900
                                                     2,374,240    48,306       X      X  28-5284   44609      3447     250
                                                        53,229     1,083       X      X  28-4580    1083
ISHARES TR                RUSSELL 1000   464287622  49,718,778   765,611       X         28-5284  765611
                                                     5,836,937    89,882       X      X  28-5284    5248     84634
                                                       120,139     1,850       X         28-4580    1850
ISHARES TR                RUSL 2000 VALU 464287630  11,160,228    57,837       X         28-5284   56742       181     914
                                                     7,203,583    37,332       X      X  28-5284   13283      5689   18360
                                                       167,682       869       X         28-4580     869
                                                        16,209        84       X      X  28-4580      84
ISHARES TR                RUSL 2000 GROW 464287648  13,079,351   194,344       X         28-5284  186306       606    7432
                                                     2,617,835    38,898       X      X  28-5284   23998      9112    5788
                                                        39,572       588       X         28-4580     588
ISHARES TR                RUSSELL 2000   464287655  34,266,477   264,606       X         28-5284  216483      1233   46890
                                                    25,524,968   197,104       X      X  28-5284   95140     44846   57118
                                                        25,900       200       X      X  28-1500     200
                                                       614,737     4,747       X         28-4580    4747
                                                       538,850     4,161       X      X  28-4580    3861       300
0              COLUMN TOTAL                        224,677,373
0
0
0




1                                                               FILE NO. 28-1235
PAGE 91 OF 183                                                    AS OF 12/31/04

     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                RUSL 3000 VALU 464287663      30,938       357       X         28-5284     357
ISHARES TR                RUSSELL 3000   464287689     357,990     5,177       X         28-5284    4375               802
                                                     1,751,085    25,323       X      X  28-5284   13561     11762
                                                        36,788       532       X         28-4580     532
ISHARES TR                DJ US UTILS    464287697     318,150     4,631       X         28-5284    2081      2550
                                                       743,815    10,827       X      X  28-5284    7028      3799
                                                        17,931       261       X         28-4580     261
ISHARES TR                S&P MIDCP VALU 464287705  11,192,222    87,099       X         28-5284   84252       316    2531
                                                     2,570,514    20,004       X      X  28-5284   14201      3877    1926
                                                       193,907     1,509       X         28-4580    1509
                                                        64,250       500       X      X  28-4580     500
ISHARES TR                DJ US TELECOMM 464287713     522,523    21,503       X         28-5284   20122      1000     381
                                                       280,373    11,538       X      X  28-5284   10288              1250
                                                         6,561       270       X      X  28-4580     270
ISHARES TR                DJ US TECH SEC 464287721   1,803,924    37,225       X         28-5284   37225
                                                     1,767,385    36,471       X      X  28-5284   10246     10021   16204
                                                         4,846       100       X      X  28-4580     100
ISHARES TR                DJ US REAL EST 464287739     167,922     1,363       X         28-5284    1363
                                                       481,712     3,910       X      X  28-5284    1256      2654
                                                        49,280       400       X         28-4580     400
                                                        73,920       600       X      X  28-4580     600
ISHARES TR                DJ US INDUSTRL 464287754      52,751       932       X         28-5284     932
ISHARES TR                DJ US HEALTHCR 464287762   2,121,516    35,964       X         28-5284   28689      6875     400
                                                       830,343    14,076       X      X  28-5284   11551      1725     800
                                                       147,475     2,500       X                    2500
ISHARES TR                DJ US FINL SEC 464287788     203,370     2,082       X         28-5284    2082
                                                        82,930       849       X      X  28-5284     549       300
                                                       156,288     1,600       X                    1600
ISHARES TR                DJ US ENERGY   464287796      69,380     1,079       X         28-5284    1079
                                                        32,407       504       X      X  28-5284     504
                                                       128,600     2,000       X                    2000
ISHARES TR                S&P SMLCAP 600 464287804  13,890,715    85,371       X         28-5284   77751       597    7023
                                                     9,959,316    61,209       X      X  28-5284   43374     17003     832
                                                       107,063       658       X         28-4580     658
                                                        31,403       193       X      X  28-4580      93       100
0              COLUMN TOTAL                         50,249,593
0
0
0




1                                                               FILE NO. 28-1235
PAGE 92 OF 183                                                    AS OF 12/31/04

     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 CON NON CYC 464287812      58,652     1,100       X      X  28-5284     100      1000
ISHARES TR                DJ US BAS MATL 464287838     120,914     2,401       X         28-5284    2151       250
                                                        12,590       250       X      X  28-5284     250
ISHARES TR                DJ US TOTL MKT 464287846      17,400       300       X      X  28-5284               300
ISHARES TR                S&P EURO PLUS  464287861     124,163     1,650       X         28-5284    1650
                                                       244,563     3,250       X      X  28-5284    3250
                                                       238,543     3,170       X         28-4580    3170
                                                     2,924,215    38,860       X      X  28-4580   16360     22500
ISHARES TR                S&P SMLCP VALU 464287879   3,403,945    27,947       X         28-5284   26898        66     983
                                                     1,385,840    11,378       X      X  28-5284    7653      2868     857
                                                       194,271     1,595       X         28-4580    1595
                                                       250,908     2,060       X      X  28-4580    1720               340
ISHARES TR                S&P SMLCP GROW 464287887   5,510,831    51,455       X         28-5284   50780       525     150
                                                     2,011,124    18,778       X      X  28-5284   15092      2737     949
                                                        72,935       681       X         28-4580     681
                                                       266,679     2,490       X      X  28-4580    2490
ISHARES TR                MID GRWTH INDX 464288307      14,024       210       X      X  28-5284     210
ISIS PHARMACEUTICALS INC  COM            464330109      17,700     3,000       X         28-5284    3000
                                                        11,800     2,000       X      X  28-5284    2000
ISLE OF CAPRI CASINOS INC COM            464592104       2,642       103       X      X  28-4580      20                83
ITRON INC                 COM            465741106       1,196        50       X         28-5284      50
IVANHOE ENERGY INC        COM            465790103       2,520     1,000       X      X  28-5284    1000
IVAX CORP                 COM            465823102     263,324    16,645       X         28-5284   16645
                                                        49,438     3,125       X      X  28-5284    1875      1250
IVILLAGE INC              COM            46588H105           6         1       X         28-1500       1
JDS UNIPHASE CORP         COM            46612J101     120,653    38,061       X         28-5284   32061      1000    5000
                                                        42,161    13,300       X      X  28-5284    4870      8430
                                                         6,340     2,000       X      X  28-1500    2000
0            COLUMN TOTAL                           17,369,377
0
0
0




1                                                               FILE NO. 28-1235
PAGE 93 OF 183                                                    AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- ------- --------- -------
                                                                                      
JLG INDS INC              COM            466210101      39,260     2,000       X      X  28-5284                      2000
                                                       384,375    19,581       X      X  28-1500   19581
JPMORGAN & CHASE & CO     COM            46625H100  90,230,520 2,313,010       X         28-5284 2001929     24783  286298
                                                    60,305,715 1,545,904       X      X  28-5284  930177    501221  114506
                                                     9,410,109   241,223       X         28-1500  218315     22908
                                                       656,070    16,818       X         28-4580   16105               713
                                                     1,365,506    35,004       X      X  28-4580   32963      1977      64
J2 GLOBAL COMMUNICATIONS
   INC                    COM NEW        46626E205         483        14       X         28-1500      14
JABIL CIRCUIT INC         COM            466313103      48,602     1,900       X         28-5284    1900
                                                         7,674       300       X      X  28-5284     300
JACOBS ENGR GROUP INC DEL COM            469814107       3,584        75       X         28-5284      75
                                                         9,558       200       X      X  28-5284     200
JACUZZI BRANDS INC        COM            469865109          52         6       X         28-5284       6
                                                        31,598     3,632       X      X  28-5284    3520               112
JAKKS PAC INC             COM            47012E106      10,347       468       X         28-1500      68       400
JANUS CAP GROUP INC       COM            47102X105     202,056    12,020       X         28-5284    7220              4800
JAPAN EQUITY FD INC       COM            471057109      99,300    15,000       X      X  28-5284   15000
JAPAN SMALLER CAPTLZTN FD
   IN                     COM            47109U104      41,201     3,405       X         28-5284    3405
JEFFERIES GROUP INC NEW   COM            472319102       3,222        80       X         28-5284      80
JEFFERSON PILOT CORP      COM            475070108  10,791,936   207,697       X         28-5284  206572              1125
                                                       850,118    16,361       X      X  28-5284   15424       600     337
                                                        96,126     1,850       X      X  28-1500    1850
JETBLUE AWYS CORP         COM            477143101      28,723     1,237       X         28-5284    1237
                                                         5,225       225       X      X  28-5284               225
JOHNSON & JOHNSON         COM            478160104 384,849,937 6,068,274       X         28-5284 5449774     73952  544548
                                                   323,826,579 5,106,064       X      X  28-5284 3799508   1031691  274865
                                                     7,506,201   118,357       X         28-1500   83167     35190
                                                     7,886,404   124,352       X         28-4580  123742               610
                                                    11,662,748   183,897       X      X  28-4580  165465     16732    1700
0            COLUMN TOTAL                          910,353,229
0
0
0




1                                                               FILE NO. 28-1235
PAGE 94 OF 183                                                    AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- ------- --------- -------
                                                                                        
JOHNSON CTLS INC          COM            478366107  21,101,159  332,616        X         28-5284  326301      3080    3235
                                                     7,590,786  119,653        X      X  28-5284   68760     48403    2490
                                                         3,172       50        X      X  28-1500      50
                                                        33,623      530        X         28-4580     530
                                                        46,692      736        X      X  28-4580     736
JOHNSON OUTDOORS INC      CL A           479167108     360,871   17,927        X         28-1500   17927
JONES APPAREL GROUP INC   COM            480074103      72,738    1,989        X         28-5284    1089       900
                                                         9,143      250        X      X  28-1500     250
JOY GLOBAL INC            COM            481165108       6,515      150        X      X  28-5284     150
JUNIPER NETWORKS INC      COM            48203R104     713,629   26,246        X         28-5284   26246
                                                        92,174    3,390        X      X  28-5284    3190               200
                                                        36,299    1,335        X      X  28-1500    1335
KCS ENERGY INC            COM            482434206       3,695      250        X      X  28-5284     250
K FED BANCORP             COM            48246S101       3,740      250        X      X  28-5284     250
KLA-TENCOR CORP           COM            482480100     344,785    7,402        X         28-5284    7402
                                                        17,468      375        X      X  28-5284     375
K-SWISS INC               CL A           482686102      11,648      400        X      X  28-1500     400
K V PHARMACEUTICAL CO     CL B CONV      482740107       2,392      105        X         28-5284     105
KANEB PIPE LINE PARTNERS
   L P                    SR PREF UNIT   484169107     219,132    3,600        X         28-5284    2100              1500
KANEB SERVICES LLC        COM            484173109      43,190    1,000        X         28-5284    1000
KANSAS CITY SOUTHERN      COM NEW        485170302      21,276    1,200        X         28-5284    1200
                                                       195,030   11,000        X      X  28-5284   11000
KAYDON CORP               COM            486587108      66,040    2,000        X         28-5284    2000
KB HOME                   COM            48666K109      41,760      400        X      X  28-5284               400
KEANE INC                 COM            486665102     230,922   15,709        X         28-5284   15709
KEITHLEY INSTRS INC       COM            487584104       5,910      300        X      X  28-5284     300
0            COLUMN TOTAL                           31,273,789
0
0
0




1                                                               FILE NO. 28-1235
PAGE 95 OF 183                                                    AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- ------- --------- -------
                                                                                       
KELLOGG CO                COM            487836108   3,193,905    71,516       X         28-5284   50628             20888
                                                     1,560,867    34,950       X      X  28-5284   15200     18800     950
                                                        13,398       300       X      X  28-1500     300
                                                        71,456     1,600       X         28-4580    1600
                                                        89,320     2,000       X      X  28-4580     800              1200
KELLWOOD CO               COM            488044108      34,500     1,000       X         28-4580    1000
KELLY SVCS INC            CL A           488152208       8,903       295       X         28-5284     295
KEMET CORP                COM            488360108      29,088     3,250       X         28-5284    3250
KENNAMETAL INC            COM            489170100      65,696     1,320       X         28-5284    1320
                                                       668,909    13,440       X      X  28-5284   13440
KERR MCGEE CORP           COM            492386107   2,447,869    42,358       X         28-5284    7358     25000   10000
                                                     2,296,806    39,744       X      X  28-5284   32372      7372
                                                       173,370     3,000       X      X  28-1500    3000
KEWAUNEE SCIENTIFIC CORP  COM            492854104      71,262     7,831       X         28-1500    7831
KEYCORP NEW               COM            493267108   1,057,544    31,196       X         28-5284   30186              1010
                                                       995,813    29,375       X      X  28-5284   16414     11561    1400
                                                    12,278,783   362,206       X         28-1500  362206
KEYSPAN CORP              COM            49337W100     226,285     5,736       X         28-5284    5736
                                                       405,901    10,289       X      X  28-5284    4652      4757     880
                                                        20,830       528       X         28-4580     528
KIMBALL INTL INC          CL B           494274103      74,050     5,000       X         28-5284    1000              4000
                                                        13,211       892       X         28-1500     892
KIMBERLY CLARK CORP       COM            494368103  57,178,755   868,846       X         28-5284  843762      1175   23909
                                                    35,883,297   545,256       X      X  28-5284  441955     79177   24124
                                                       208,289     3,165       X         28-1500      80      3085
                                                       189,467     2,879       X         28-4580    2879
                                                       601,898     9,146       X      X  28-4580    9146
KIMCO REALTY CORP         COM            49446R109     275,453     4,750       X         28-5284    2450              2300
                                                       139,176     2,400       X      X  28-5284    2400
0            COLUMN TOTAL                          120,274,101
0
0
0




1                                                               FILE NO. 28-1235
PAGE 96 OF 183                                                    AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- ------- --------- -------
                                                                                       
KINDER MORGAN INC KANS    COM            49455P101  28,933,592   395,646       X         28-5284  377979      4819   12848
                                                    11,512,929   157,431       X      X  28-5284   96799     56192    4440
                                                       626,505     8,567       X         28-4580    7960               607
                                                       155,401     2,125       X      X  28-4580    1675       450
KINDER MORGAN MANAGEMENT
   LLC                    SHS            49455U100     102,971     2,530       X         28-5284    2530
KINDER MORGAN ENERGY
   PARTNER                UT LTD PARTNER 494550106   1,764,201    39,797       X         28-5284   35997              3800
                                                     2,744,648    61,914       X      X  28-5284    2036     59678     200
                                                       184,413     4,160       X      X  28-1500    4160
KING PHARMACEUTICALS INC  COM            495582108      16,418     1,324       X         28-5284    1324
                                                         3,100       250       X      X  28-5284     250
                                                         6,262       505       X      X  28-1500     505
KMART HLDG CORPORATION    COM            498780105      10,983       111       X         28-5284     111
                                                        17,019       172       X         28-1500     172
KNAPE & VOGT MFG CO       COM            498782101      71,120     5,429       X         28-1500    5429
KNIGHT RIDDER INC         COM            499040103     728,106    10,877       X         28-5284   10877
                                                       688,076    10,279       X      X  28-5284    6312      3967
KNIGHT TRADING GROUP INC  COM            499063105      21,900     2,000       X         28-5284    2000
KNOLOGY INC               COM            499183804   1,299,999   333,333       X                  333333
KOHLS CORP                COM            500255104  12,144,105   246,982       X         28-5284  244537       850    1595
                                                     3,267,592    66,455       X      X  28-5284   46910     19075     470
                                                       103,257     2,100       X         28-1500              2100
                                                        11,801       240       X         28-4580     240
KONINKLIJKE PHILIPS
   ELECTRS                NY REG SH NEW  500472303     116,759     4,406       X         28-5284    4406
                                                        60,632     2,288       X      X  28-5284    2288
KOPIN CORP                COM            500600101      11,610     3,000       X      X  28-5284              3000
KOREA ELECTRIC PWR        SPONSORED ADR  500631106      64,876     4,900       X      X  28-5284    4900
KOREA FD                  COM            500634100       4,812       200       X         28-5284     200
KORN FERRY INTL           COM NEW        500643200     165,959     7,998       X         28-5284    7998
                                                       207,500    10,000       X      X  28-5284   10000
0            COLUMN TOTAL                           65,046,546
0
0
0




1                                                               FILE NO. 28-1235
PAGE 97 OF 183                                                    AS OF 12/31/04

     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   1,252,867    35,183       X         28-5284   31933      2400     850
                                                       696,710    19,565       X      X  28-5284   12495      6320     750
                                                        14,921       419       X         28-1500               419
                                                        10,683       300       X      X  28-4580     300
KRAMONT RLTY TR           COM SH BEN INT 50075Q107      28,080     1,200       X         28-5284    1200
                                                        53,820     2,300       X      X  28-5284    2000       300
KRISPY KREME DOUGHNUTS
   INC                    COM            501014104       5,670       450       X         28-5284      50               400
                                                       316,386    25,110       X      X  28-5284   25110
KROGER CO                 COM            501044101   3,656,371   208,459       X         28-5284  202284      5925     250
                                                       886,910    50,565       X      X  28-5284   34055     15340    1170
                                                        68,406     3,900       X      X  28-1500    3900
                                                        29,818     1,700       X         28-4580    1700
                                                         8,770       500       X      X  28-4580     500
KRONOS WORLDWIDE INC      COM            50105F105       2,038        50       X         28-5284      50
KULICKE & SOFFA INDS INC  COM            501242101       4,310       500       X      X  28-5284     500
KYOCERA CORP              ADR            501556203      15,396       200       X         28-5284                       200
KYPHON INC                COM            501577100       5,152       200       X      X  28-5284     200
LCA-VISION INC            COM PAR $.001  501803308      52,183     2,231       X         28-1500    2231
LNR PPTY CORP             COM            501940100      18,873       300       X      X  28-5284     300
LL & E RTY TR             UNIT BEN INT   502003106      16,184     2,573       X         28-5284    2573
                                                        27,865     4,430       X      X  28-5284    1350      3080
LSB CORP                  COM            50215P100     314,840    17,000       X      X  28-5284   17000
LSI LOGIC CORP            COM            502161102      24,660     4,500       X         28-5284    4200               300
                                                        38,908     7,100       X      X  28-5284    4600       500    2000
LTC PPTYS INC             COM            502175102     603,273    30,300       X         28-5284   30300
L-3 COMMUNICATIONS HLDGS
   INC                    COM            502424104   1,850,921    25,272       X         28-5284   25272
                                                       859,105    11,730       X      X  28-5284   10325       825     580
                                                        11,132       152       X         28-1500     152
                                                        45,409       620       X      X  28-1500     620
0            COLUMN TOTAL                           10,919,661
0
0
0




1                                                               FILE NO. 28-1235
PAGE 98 OF 183                                                    AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- ------- --------- -------
                                                                                       
LA QUINTA CORP            PAIRED CTF     50419U202      21,816     2,400       X         28-5284    2400
LABORATORY CORP AMER
   HLDGS                  COM NEW        50540R409      92,167     1,850       X         28-5284    1850
                                                       169,388     3,400       X      X  28-5284    3000       400
                                                         7,473       150       X      X  28-1500     150
LABOR READY INC           COM NEW        505401208       7,614       450       X         28-5284     450
LACLEDE GROUP INC         COM            505597104      68,530     2,200       X         28-5284    2000       200
                                                           935        30       X      X  28-5284      30
LAFARGE NORTH AMERICA INC COM            505862102       5,440       106       X         28-5284     106
LAKELAND BANCORP INC      COM            511637100     273,306    15,573       X         28-5284   15573
LAM RESEARCH CORP         COM            512807108   8,922,696   308,637       X         28-5284  290312       740   17585
                                                     1,560,157    53,966       X      X  28-5284   34846     14800    4320
                                                       259,901     8,990       X         28-4580    8461               529
                                                       125,094     4,327       X      X  28-4580    4327
LANCASTER COLONY CORP     COM            513847103     113,606     2,650       X         28-5284    2650
LANCE INC                 COM            514606102      19,030     1,000       X         28-5284    1000
                                                         3,806       200       X      X  28-5284     200
                                                           304        16       X         28-1500      16
LANDAUER INC              COM            51476K103     158,945     3,478       X         28-5284    1466              2012
                                                        81,026     1,773       X      X  28-5284    1773
                                                        27,420       600       X      X  28-1500     600
LANDAMERICA FINL GROUP
   INC                    COM            514936103      10,085       187       X      X  28-5284      75       112
LANDRYS RESTAURANTS INC   COM            51508L103       6,829       235       X         28-5284     235
LANDSTAR SYS INC          COM            515098101     810,040    11,000       X      X  28-5284   11000
LANNET INC                COM            516012101     156,024    15,840       X      X  28-5284   15840
LARGE SCALE BIOLOGY CORP  COM            517053104       1,260     1,000       X      X  28-5284    1000
LAS VEGAS SANDS CORP      COM            517834107       3,072        64       X      X  28-4580       6                58
LATIN AMER EQUITY FD INC
   NEW                    COM            51827Q106       7,859       363       X         28-5284     363
0            COLUMN TOTAL                           12,913,823
0
0
0




1                                                               FILE NO. 28-1235
PAGE 99 OF 183                                                    AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- ------- --------- -------
                                                                                       
LAUDER ESTEE COS INC      CL A           518439104   1,979,873    43,257       X         28-5284   36207              7050
                                                        38,676       845       X      X  28-5284     845
                                                        16,111       352       X         28-1500     352
                                                       170,676     3,729       X      X  28-1500    3729
LAUREATE EDUCATION INC    COM            518613104       1,764        40       X         28-5284      40
LAYNE CHRISTENSEN CO      COM            521050104       1,815       100       X         28-5284     100
                                                         1,815       100       X      X  28-5284     100
LEAPFROG ENTERPRISES INC  CL A           52186N106      31,280     2,300       X         28-5284    2300
                                                         5,440       400       X      X  28-5284     400
LEAR CORP                 COM            521865105     151,549     2,484       X         28-5284    2404        80
                                                        36,606       600       X      X  28-5284                       600
                                                         4,637        76       X      X  28-1500      76
LEE ENTERPRISES INC       COM            523768109      13,824       300       X         28-5284     300
LEESPORT FINANCIAL CORP   COM            524477106      16,666       664       X         28-5284     664
                                                       569,268    22,680       X         28-1500   22680
LEGGETT & PLATT INC       COM            524660107      29,283     1,030       X         28-5284    1030
                                                        17,854       628       X      X  28-5284     628
LEGG MASON INC            COM            524901105  32,132,495   438,609       X         28-5284  422218      1365   15026
                                                     7,499,846   102,373       X      X  28-5284   65824     33829    2720
                                                       910,695    12,431       X         28-4580   11890               541
                                                       169,524     2,314       X      X  28-4580    2018       200      96
LEHMAN BROS HLDGS INC     COM            524908100  15,564,354   177,919       X         28-5284  160379      5160   12380
                                                     7,472,717    85,422       X      X  28-5284   62819     19766    2837
                                                        48,989       560       X         28-4580     560
                                                       115,824     1,324       X      X  28-4580    1324
LENNAR CORP               CL A           526057104     604,209    10,660       X         28-5284   10660
                                                       430,768     7,600       X      X  28-5284    7600
LENNAR CORP               CL B           526057302       2,088        40       X         28-5284      40
                                                         5,221       100       X      X  28-5284     100
LENNOX INTL INC           COM            526107107       2,035       100       X         28-5284     100
0            COLUMN TOTAL                           68,045,902
0
0
0




1                                                               FILE NO. 28-1235
PAGE 100 OF 183                                                   AS OF 12/31/04

     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      374,775    5,394       X         28-5284    5394
                                                         8,338       120       X      X  28-5284     120
LEVEL 3 COMMUNICATIONS
   INC                    COM            52729N100      64,410    19,000       X         28-5284   19000
                                                        16,950     5,000       X      X  28-5284    5000
                                                         1,695       500       X      X  28-4580     500
LEVITT CORP               CL A           52742P108       7,643       250       X         28-5284     250
                                                         2,170        71       X      X  28-5284      71
LEXAR MEDIA INC           COM            52886P104         980       125       X      X  28-5284     125
LEXINGTON CORP PPTYS TR   COM            529043101       5,419       240       X         28-5284     240
                                                        78,511     3,477       X      X  28-5284    3477
LEXMARK INTL NEW          CL A           529771107     441,065     5,189       X         28-5284    5189
                                                       297,075     3,495       X      X  28-5284    1195      2300
                                                         8,500       100       X      X  28-1500     100
LIBERTY ALL-STAR GROWTH
   FD I                   COM            529900102      20,101     3,041       X         28-5284    3041
LIBERTY ALL STAR EQUITY FDSH BEN INT     530158104      21,825     2,283       X         28-5284    2283
                                                        22,103     2,312       X      X  28-5284    1860       452
LIBERTY CORP S C          COM            530370105     121,549     2,765       X         28-5284    2765
LIBERTY MEDIA CORP NEW    COM SER A      530718105     590,417    53,772       X         28-5284   53772
                                                       672,163    61,217       X      X  28-5284   40496      1833   18888
                                                       515,731    46,970       X      X  28-1500   46970
LIBERTY MEDIA CORP NEW    COM SER B      530718204      34,800     3,000       X         28-5284    3000
LIBERTY MEDIA INTL INC    COM SER A      530719103     117,147     2,534       X         28-5284    2534
                                                       209,746     4,537       X      X  28-5284    1776              2761
                                                        99,302     2,148       X      X  28-1500    2148
LIBERTY MEDIA INTL INC    COM SER B      530719202       7,286       150       X         28-5284     150
LIBERTY PPTY TR           SH BEN INT     531172104      69,120     1,600       X         28-5284    1600
                                                     1,812,240    41,950       X      X  28-5284    2200     39750
LIFEPOINT INC             COM            53215R100       7,250    25,000       X         28-5284   25000
0            COLUMN TOTAL                            5,628,311
0
0
0




1                                                               FILE NO. 28-1235
PAGE 101 OF 183                                                   AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- ------- --------- -------
                                                                                       
LIFEPOINT HOSPITALS INC   COM            53219L109      26,498       761       X         28-5284     730                31
                                                       491,798    14,124       X      X  28-5284   14124
LIFELINE SYS INC          COM            532192101     120,557     4,680       X         28-5284    4680
LIGAND PHARMACEUTICALS
   INC                    CL B           53220K207      46,560     4,000       X         28-5284    4000
                                                        23,280     2,000       X      X  28-5284    2000
LILLY ELI & CO            COM            532457108  20,072,248   353,696       X         28-5284  312203      8820   32673
                                                    27,659,666   487,395       X      X  28-5284  360088     97378   29929
                                                        89,211     1,572       X         28-1500              1572
                                                       141,875     2,500       X         28-4580    2500
                                                       921,280    16,234       X      X  28-4580   16134       100
LIMITED BRANDS INC        COM            532716107      41,919     1,821       X         28-5284    1421       400
                                                         7,159       311       X      X  28-5284     311
                                                        10,083       438       X         28-4580     438
LINCARE HLDGS INC         COM            532791100      18,340       430       X         28-5284     430
                                                         4,265       100       X      X  28-5284     100
LINCOLN NATL CORP IND     COM            534187109     399,441     8,557       X         28-5284    7757               800
                                                       516,281    11,060       X      X  28-5284    9860      1200
                                                         9,336       200       X      X  28-1500     200
LINEAR TECHNOLOGY CORP    COM            535678106   2,131,567    54,994       X         28-5284   53681              1313
                                                       275,855     7,117       X      X  28-5284    6117              1000
LITTELFUSE INC            COM            537008104     184,464     5,400       X      X  28-5284              5400
LIZ CLAIBORNE INC         COM            539320101   9,890,183   234,309       X         28-5284  211846      1070   21393
                                                     7,538,664   178,599       X      X  28-5284  103909     35485   39205
                                                       280,274     6,640       X         28-4580    6640
                                                        91,891     2,177       X      X  28-4580    2177
LLOYDS TSB GROUP PLC      SPONSORED ADR  539439109       1,288        35       X         28-5284      35
                                                       132,775     3,609       X      X  28-5284    2109      1500
LOCKHEED MARTIN CORP      COM            539830109   1,660,056    29,884       X         28-5284   29634               250
                                                     5,731,927   103,185       X      X  28-5284   70523      6262   26400
LODGIAN INC               COM PAR $.01   54021P403     205,127    16,677       X         28-5284   16677
0            COLUMN TOTAL                           78,723,868
0
0
0




1                                                               FILE NO. 28-1235
PAGE 102 OF 183                                                   AS OF 12/31/04

     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      43,586       620       X         28-5284     620
                                                        24,605       350       X      X  28-5284     350
                                                        28,120       400       X      X  28-4580               400
LOEWS CORP                CAROLNA GP STK 540424207      14,475       500       X      X  28-1500     500
LONE STAR TECHNOLOGIES
   INC                    COM            542312103      52,198     1,560       X      X  28-5284    1560
                                                         3,346       100       X         28-4580     100
LONGS DRUG STORES CORP    COM            543162101      11,028       400       X         28-5284     400
LOUISIANA PAC CORP        COM            546347105     716,124    26,781       X      X  28-5284   17921      8860
LOWES COS INC             COM            548661107  40,157,161   697,294       X         28-5284  663435     11106   22753
                                                    25,077,335   435,446       X      X  28-5284  223033     90088  122325
                                                       281,212     4,883       X      X  28-1500    4883
                                                       214,983     3,733       X         28-4580    3733
                                                       639,249    11,100       X      X  28-4580   10100      1000
LOWRANCE ELECTRS INC      COM            548900109     157,100     5,000       X         28-5284                      5000
                                                         7,855       250       X      X  28-5284     250
LUBRIZOL CORP             COM            549271104     269,078     7,300       X         28-5284    7300
                                                       359,201     9,745       X      X  28-5284    3245      3200    3300
                                                        16,771       455       X      X  28-1500     455
LUCENT TECHNOLOGIES INC   COM            549463107     591,384   157,283       X         28-5284  150873         6    6404
                                                     1,134,531   301,737       X      X  28-5284  231811     51926   18000
                                                        84,720    22,532       X         28-1500             22532
                                                        29,862     7,942       X         28-4580    7238               704
                                                        15,897     4,228       X      X  28-4580    4228
LUFKIN INDS INC           COM            549764108     277,410     7,000       X      X  28-5284    7000
LUXOTTICA GROUP S P A     SPONSORED ADR  55068R202      61,170     3,000       X      X  28-1500    3000
LYNX THERAPEUTICS INC     COM PAR $0.01  551812407          19         5       X         28-5284       5
LYONDELL CHEMICAL CO      COM            552078107      18,335       634       X         28-5284     634
                                                       684,681    23,675       X      X  28-5284    2874             20801
                                                        14,460       500       X      X  28-1500     500
M & F WORLDWIDE CORP      COM            552541104         191        14       X         28-5284      14
0            COLUMN TOTAL                           70,986,087
0
0
0




1                                                               FILE NO. 28-1235
PAGE 103 OF 183                                                   AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- ------- --------- -------
                                                                                      
M & T BK CORP             COM            55261F104  23,677,890   219,565       X         28-5284  209661      1780    8124
                                                    10,801,470   100,162       X      X  28-5284   58988     38394    2780
                                                       435,027     4,034       X         28-4580    3896               138
                                                       149,682     1,388       X      X  28-4580    1088       260      40
MBIA INC                  COM            55262C100  19,204,278   303,481       X         28-5284  265642      3800   34039
                                                     5,959,647    94,179       X      X  28-5284   65050     27774    1355
                                                         6,328       100       X         28-1500     100
                                                        78,404     1,239       X      X  28-1500    1239
                                                        17,718       280       X         28-4580     280
                                                         6,961       110       X      X  28-4580     110
MBNA CORP                 COM            55262L100  86,677,484 3,074,760       X         28-5284 2896734     37164  140862
                                                    35,812,548 1,270,399       X      X  28-5284  659568    381763  229068
                                                        25,258       896       X      X  28-1500     896
                                                     3,747,917   132,952       X         28-4580  132427               525
                                                     1,055,631    37,447       X      X  28-4580   35077      2030     340
MBIA CAP CLAYMORE MNG DUR
   IN                     COM            55266X100      25,880     2,000       X      X  28-5284                      2000
M D C HLDGS INC           COM            552676108       8,644       100       X         28-5284     100
                                                       527,716     6,105       X      X  28-5284    6105
MDU RES GROUP INC         COM            552690109     252,553     9,466       X         28-5284    9466
                                                       174,007     6,522       X      X  28-5284    6522
MCI INC                   COM            552691107     213,857    10,608       X         28-5284   10608
                                                        55,380     2,747       X      X  28-5284    2527       220
MFA MTG INVTS INC         COM            55272X102       4,410       500       X      X  28-5284               500
MFS CHARTER INCOME TR     SH BEN INT     552727109       3,907       443       X         28-5284     443
                                                        48,510     5,500       X      X  28-5284    2200      3300
MFS INTER INCOME TR       SH BEN INT     55273C107     157,237    24,265       X         28-5284    5265             19000
                                                        24,741     3,818       X      X  28-5284    1518      2300
                                                        17,496     2,700       X         28-4580    2700
                                                         6,480     1,000       X      X  28-4580    1000
MFS MULTIMARKET INCOME TR SH BEN INT     552737108       6,330     1,000       X         28-5284    1000
MFS MUN INCOME TR         SH BEN INT     552738106       3,845       500       X         28-5284     500
                                                        46,140     6,000       X      X  28-5284    6000
0            COLUMN TOTAL                          189,233,376
0
0
0




1                                                               FILE NO. 28-1235
PAGE 104 OF 183                                                   AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- ------- --------- -------
                                                                                        
MGE ENERGY INC            COM            55277P104      25,077       696       X         28-5284     696
MGIC INVT CORP WIS        COM            552848103      94,407     1,370       X         28-5284    1370
                                                       475,479     6,900       X      X  28-5284                      6900
MFS GOVT MKTS INCOME TR   SH BEN INT     552939100      14,608     2,200       X      X  28-5284              2200
MGM MIRAGE                COM            552953101      50,918       700       X         28-5284     700
                                                         2,691        37       X      X  28-4580       4                33
M/I HOMES INC             COM            55305B101      55,110     1,000       X      X  28-5284    1000
MMO2 PLC                  ADR            55309W101       2,842       121       X         28-5284     121
                                                         2,349       100       X      X  28-5284     100
MPS GROUP INC             COM            553409103       1,226       100       X         28-5284     100
MSC INDL DIRECT INC       CL A           553530106      19,789       550       X         28-5284     550
MTR GAMING GROUP INC      COM            553769100       1,056       100       X      X  28-5284     100
MVC CAPITAL INC           COM            553829102       4,540       500       X         28-5284     500
MACDERMID INC             COM            554273102      36,100     1,000       X         28-5284    1000
MACK CALI RLTY CORP       COM            554489104      69,045     1,500       X         28-5284    1500
                                                       418,873     9,100       X      X  28-5284    6600      2500
                                                        13,809       300       X         28-4580     300
MACROCHEM CORP DEL        COM            555903103       7,300    10,000       X         28-5284   10000
                                                         4,380     6,000       X      X  28-5284    6000
MACQUARIE FT TR GB INF UT
   DI                     COM            55607W100      25,691     1,150       X         28-5284    1150
MACROMEDIA INC            COM            556100105      12,448       400       X         28-5284     400
                                                        14,160       455       X      X  28-5284     455
MADDEN STEVEN LTD         COM            556269108       9,430       500       X         28-5284     500
MAGELLAN HEALTH SVCS INC  COM NEW        559079207       7,686       225       X         28-5284     225
MAGELLAN MIDSTREAM PRTNRS
   LP                     COM UNIT RP LP 559080106     176,010     3,000       X         28-5284     300              2700
                                                       275,749     4,700       X      X  28-5284    2000      2700
0            COLUMN TOTAL                            1,820,773
0
0
0




1                                                               FILE NO. 28-1235
PAGE 105 OF 183                                                   AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- ------- --------- -------
                                                                                       
MAGNA ENTMT CORP          CL A           559211107       5,117       850       X      X  28-5284     850
MAGNA INTL INC            CL A           559222401       8,255       100       X      X  28-5284     100
MAGNETEK INC              COM            559424106      71,760    10,400       X         28-5284   10400
MAGNUM HUNTER RES INC     *W EXP 03/21/2 55972F138         132       401       X         28-5284     400                 1
MAINSOURCE FINANCIAL GP
   INC                    COM            56062Y102     269,725    11,295       X         28-5284   11295
                                                     1,485,670    62,214       X         28-1500   62214
MANAGED MUNS PORTFOLIO
   INC                    COM            561662107      13,936     1,300       X         28-5284    1300
                                                        49,912     4,656       X      X  28-5284    4656
MANDALAY RESORT GROUP     COM            562567107       2,113        30       X      X  28-4580       3                27
MANHATTAN ASSOCS INC      COM            562750109     214,920     9,000       X      X  28-1500    9000
MANITOWOC INC             COM            563571108     128,462     3,412       X         28-5284    3412
                                                         7,530       200       X      X  28-5284     200
MANOR CARE INC NEW        COM            564055101         496        14       X         28-5284      14
                                                        26,573       750       X      X  28-4580     750
MANPOWER INC              COM            56418H100       9,370       194       X         28-5284     194
MANULIFE FINL CORP        COM            56501R106   5,707,825   123,546       X         28-5284   92665             30881
                                                     2,646,798    57,290       X      X  28-5284   50933      4522    1835
MARATHON OIL CORP         COM            565849106   3,198,919    85,055       X         28-5284   83989              1066
                                                       251,385     6,684       X      X  28-5284     627      6057
                                                         5,867       156       X         28-4580     156
                                                         5,679       151       X      X  28-4580     151
MARINEMAX INC             COM            567908108      29,760     1,000       X         28-5284    1000
MARINE PRODS CORP         COM            568427108       7,833       300       X         28-5284     300
                                                        20,888       800       X      X  28-5284     800
MARITRANS INC             COM            570363101      18,170     1,000       X      X  28-5284    1000
MARKET 2000+ HOLDRS TR    DEPOSITARY RCT 57059Y204       5,588       100       X         28-5284     100
0            COLUMN TOTAL                           14,192,683
0
0
0




1                                                               FILE NO. 28-1235
PAGE 106 OF 183                                                   AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- ------- --------- -------
                                                                                       
MARKETWATCH INC           COM            570619106         900        50       X         28-5284      50
MARSH & MCLENNAN COS INC  COM            571748102   4,427,090   134,562       X         28-5284  132662       600    1300
                                                     2,093,098    63,620       X      X  28-5284   43724     19896
                                                         1,448        44       X      X  28-1500      44
                                                       209,244     6,360       X         28-4580    6360
                                                       431,319    13,110       X      X  28-4580   13110
MARSHALL & ILSLEY CORP    COM            571834100      62,101     1,405       X         28-5284    1405
                                                        10,652       241       X         28-4580     241
MARRIOTT INTL INC NEW     CL A           571903202  45,066,851   715,574       X         28-5284  691049      3295   21230
                                                    24,732,687   392,707       X      X  28-5284  302063     83301    7343
                                                     1,568,517    24,905       X         28-4580   24113               792
                                                       402,001     6,383       X      X  28-4580    5851       420     112
MARTEK BIOSCIENCES CORP   COM            572901106         512        10       X         28-5284      10
MARTHA STEWART LIVING
   OMNIME                 CL A           573083102     123,335     4,250       X         28-5284    4050               200
                                                        10,157       350       X      X  28-5284     300        50
MARTIN MARIETTA MATLS INC COM            573284106      27,313       509       X         28-5284     509
                                                         1,985        37       X      X  28-5284      37
MASCO CORP                COM            574599106   5,248,448   143,675       X         28-5284  143675
                                                     2,294,267    62,805       X      X  28-5284   22275     34530    6000
                                                         8,037       220       X         28-1500     220
                                                        36,530     1,000       X      X  28-1500    1000
MASSEY ENERGY CORP        COM            576206106       3,775       108       X         28-5284     108
                                                        36,138     1,034       X      X  28-5284    1034
MASSMUTUAL CORPORATE INVS
   IN                     COM            576292106      11,400       400       X         28-5284     400
                                                         4,275       150       X      X  28-5284     150
MASSMUTUAL PARTN INVS     SH BEN INT     576299101      57,433     4,315       X         28-5284    4315
MATRIXX INITIATIVES INC   COM            57685L105     135,252    11,700       X         28-5284   11700
MATSUSHITA ELEC INDL      ADR            576879209       5,024       313       X         28-5284     313
                                                        29,693     1,850       X      X  28-5284    1850
0            COLUMN TOTAL                           87,039,482
0
0
0




1                                                               FILE NO. 28-1235
PAGE 107 OF 183                                                   AS OF 12/31/04

     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  16,251,853   833,856       X         28-5284  647831            186025
                                                       679,441    34,861       X      X  28-5284    4782      9179   20900
                                                     2,795,665   143,441       X         28-1500  143441
MATTHEWS INTL CORP        CL A           577128101      29,440       800       X         28-5284     800
                                                     1,193,056    32,420       X      X  28-5284   27320              5100
MAXIM INTEGRATED PRODS
   INC                    COM            57772K101      36,116       852       X         28-5284     852
                                                        53,115     1,253       X      X  28-1500    1253
MAXIM PHARMACEUTICALS INC COM            57772M107       7,550     2,500       X      X  28-1500    2500
MAXTOR CORP               COM NEW        577729205       5,152       972       X         28-5284     972
MAY DEPT STORES CO        COM            577778103   5,091,933   173,195       X         28-5284  158745      3100   11350
                                                     3,881,329   132,018       X      X  28-5284   99649     27729    4640
                                                         2,087        71       X         28-1500      71
                                                        13,230       450       X      X  28-1500     450
                                                        22,138       753       X         28-4580     753
MAX & ERMAS RESTAURANTS
   INC                    COM            577903107       1,386       107       X         28-5284     107
MAYTAG CORP               COM            578592107      13,863       657       X         28-5284     257               400
                                                       176,185     8,350       X      X  28-5284    2550      5800
                                                         8,440       400       X      X  28-4580     400
MCAFEE INC                COM            579064106       1,938        67       X         28-5284      67
                                                         8,679       300       X      X  28-5284     300
MCCLATCHY CO              CL A           579489105     126,745     1,765       X         28-5284    1765
MCCORMICK & CO INC        COM NON VTG    579780206  20,901,012   541,477       X         28-5284  512052     13495   15930
                                                    13,405,934   347,304       X      X  28-5284  224625    110099   12580
                                                        37,056       960       X      X  28-1500     960
                                                       273,365     7,082       X         28-4580    7082
                                                       135,139     3,501       X      X  28-4580    3501
MCDATA CORP               CL A           580031201       1,293       217       X         28-5284     217
                                                           900       151       X      X  28-5284      93        58
                                                           149        25       X      X  28-4580      25
MCDERMOTT INTL INC        COM            580037109      29,376     1,600       X      X  28-5284    1600
0            COLUMN TOTAL                           65,183,565
0
0
0




1                                                               FILE NO. 28-1235
PAGE 108 OF 183                                                   AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- ------- --------- -------
                                                                                       
MCDONALDS CORP            COM            580135101  24,088,986   751,372       X         28-5284  710029      1250   40093
                                                    19,514,024   608,672       X      X  28-5284  420212    131865   56595
                                                         6,156       192       X         28-1500     192
                                                        46,487     1,450       X      X  28-1500    1450
                                                        71,622     2,234       X         28-4580    2234
                                                        46,711     1,457       X      X  28-4580    1082       375
                                                       256,480     8,000       X                    8000
MCGRAW HILL COS INC       COM            580645109  52,284,536   571,166       X         28-5284  545958      9910   15298
                                                    35,018,719   382,551       X      X  28-5284  180392    183789   18370
                                                       274,620     3,000       X      X  28-1500    3000
                                                     1,579,797    17,258       X         28-4580   16811               447
                                                       382,729     4,181       X      X  28-4580    4048       100      33
MCKESSON CORP             COM            58155Q103     996,338    31,670       X         28-5284   31670
                                                        60,718     1,930       X      X  28-5284    1630       300
                                                       108,789     3,458       X      X  28-1500    3458
MCMORAN EXPLORATION CO    COM            582411104       2,917       156       X      X  28-5284      82        74
MEADWESTVACO CORP         COM            583334107     572,978    16,907       X         28-5284   16907
                                                       964,035    28,446       X      X  28-5284   22746              5700
MEASUREMENT SPECIALTIES
   INC                    COM            583421102      12,730       500       X         28-5284     500
MEDAREX INC               COM            583916101         647        60       X         28-5284      60
MEDCO HEALTH SOLUTIONS
   INC                    COM            58405U102   7,939,734   190,859       X         28-5284  165245      4186   21428
                                                    14,302,122   343,801       X      X  28-5284  266844     72300    4657
                                                        54,413     1,308       X         28-1500     964       344
                                                        36,774       884       X         28-4580     884
                                                       276,848     6,655       X      X  28-4580    6655
MEDIA GEN INC             CL A           584404107     689,578    10,640       X         28-5284   10640
                                                        44,136       681       X      X  28-5284                       681
MEDICIS PHARMACEUTICAL
   CORP                   CL A NEW       584690309     535,673    15,257       X         28-5284   15257
                                                        35,988     1,025       X      X  28-5284     225               800
MEDIMMUNE INC             COM            584699102     113,347     4,181       X         28-5284    3857               324
                                                        16,266       600       X      X  28-5284     500       100
MEDIS TECHNOLOGIES LTD    COM            58500P107     244,385    13,318       X         28-5284   13318
0            COLUMN TOTAL                          160,579,283
0
0
0




1                                                               FILE NO. 28-1235
PAGE 109 OF 183                                                   AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- ------- --------- -------
                                                                                      
MEDTRONIC INC             COM            585055106  73,129,141 1,472,300       X         28-5284 1372464     21075   78761
                                                    51,116,192 1,029,116       X      X  28-5284  707671    252172   69273
                                                       111,956     2,254       X         28-1500              2254
                                                       620,726    12,497       X         28-4580   12497
                                                       734,719    14,792       X      X  28-4580   13507      1111     174
MELLON FINL CORP          COM            58551A108   9,798,748   314,971       X         28-5284  273801     24170   17000
                                                     4,342,334   139,580       X      X  28-5284   92765     35815   11000
                                                       373,320    12,000       X         28-4580   12000
MENS WEARHOUSE INC        COM            587118100       7,191       225       X         28-5284     225
MENTOR CORP MINN          COM            587188103     506,100    15,000       X      X  28-5284   15000
MENTOR GRAPHICS CORP      COM            587200106      23,042     1,507       X         28-5284    1507
MERCANTILE BANKSHARES
   CORP                   COM            587405101     775,170    14,850       X         28-5284   14850
                                                       467,712     8,960       X      X  28-5284    5210              3750
                                                        39,150       750       X      X  28-1500     750
MERCK & CO INC            COM            589331107 105,553,867 3,284,190       X         28-5284 2975146     56247  252797
                                                   185,090,982 5,758,898       X      X  28-5284 2780724   2766755  211419
                                                       665,009    20,691       X         28-1500    8296     12395
                                                     1,020,702    31,758       X         28-4580   31558               200
                                                     3,498,085   108,839       X      X  28-4580   99613      8026    1200
MERCURY COMPUTER SYS      COM            589378108       8,904       300       X      X  28-5284     300
MERCURY GENL CORP NEW     COM            589400100      23,968       400       X      X  28-5284               400
MERCURY INTERACTIVE CORP  COM            589405109       8,700       191       X         28-5284     191
MERIDIAN BIOSCIENCE INC   COM            589584101      50,526     2,879       X         28-5284    2879
                                                         5,265       300       X      X  28-5284     300
                                                           439        25       X         28-1500      25
MERIT MED SYS INC         COM            589889104     122,240     8,000       X         28-5284    8000
MERITAGE HOMES CORP       COM            59001A102       3,381        30       X         28-5284      30
MERRILL LYNCH & CO INC    DEBT        10 590188P51   1,060,000    10,000       X         28-5284   10000
0            COLUMN TOTAL                          439,157,569
0
0
0




1                                                               FILE NO. 28-1235
PAGE 110 OF 183                                                   AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- ------- --------- -------
                                                                                      
MERRILL LYNCH & CO INC    COM            590188108   8,639,036   144,538       X         28-5284  119988      1150   23400
                                                    23,286,990   389,610       X      X  28-5284  273633     27966   88011
                                                       143,448     2,400       X      X  28-4580    2400
                                                       393,287     6,580       X                    6580
METASOLV INC              COM            59139P104       5,649     2,100       X         28-5284    2100
METLIFE INC               COM            59156R108     536,636    13,247       X         28-5284   10004              3243
                                                        91,796     2,266       X      X  28-5284    1831       435
                                                           648        16       X      X  28-1500      16
                                                         4,051       100       X      X  28-4580     100
METRIS COS INC            COM            591598107      12,750     1,000       X      X  28-5284              1000
METROLOGIC INSTRS INC     COM            591676101      10,625       500       X         28-5284     500
METTLER TOLEDO
INTERNATIONAL             COM            592688105      17,445       340       X         28-5284     340
MICHAELS STORES INC       COM            594087108       5,994       200       X      X  28-5284     200
MICROS SYS INC            COM            594901100       7,806       100       X         28-5284     100
                                                       858,660    11,000       X      X  28-5284   11000
MICROSOFT CORP            COM            594918104 170,812,436 6,392,681       X         28-5284 5995361     88939  308381
                                                    99,208,341 3,712,887       X      X  28-5284 2498804   1004746  209337
                                                     2,595,207    97,126       X         28-1500   32436     64690
                                                     3,569,258   133,580       X         28-4580  131447              2133
                                                     2,797,771   104,707       X      X  28-4580   93432     10670     605
MICROSTRATEGY INC         *W EXP 06/24/2 594972119           9        98       X         28-5284      98
                                                             1        16       X         28-4580      16
MICROSTRATEGY INC         CL A NEW       594972408       7,652       127       X         28-5284     127
MICROCHIP TECHNOLOGY INC  COM            595017104      58,312     2,193       X         28-5284    2193
                                                         3,457       130       X      X  28-5284     130
MICROMUSE INC             COM            595094103       1,138       205       X         28-5284     205
                                                           599       108       X         28-1500     108
MICRON TECHNOLOGY INC     COM            595112103     306,465    24,815       X         28-5284   24815
                                                        34,382     2,784       X      X  28-5284    2784
0            COLUMN TOTAL                          313,409,849
0
0
0




1                                                               FILE NO. 28-1235
PAGE 111 OF 183                                                   AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- ------- --------- -------
                                                                                       
MIDAS GROUP INC           COM            595626102       1,480        74       X         28-5284      74
                                                         4,820       241       X      X  28-5284     200        41
MIDCAP SPDR TR            UNIT SER 1     595635103 127,138,693 1,050,733       X         28-5284  961035     13237   76461
                                                    31,981,147   264,307       X      X  28-5284  138526    122585    3196
                                                        37,510       310       X      X  28-1500     310
                                                     2,882,341    23,821       X         28-4580   16461              7360
                                                     1,427,800    11,800       X      X  28-4580   10660       600     540
MIDDLEBY CORP             COM            596278101       5,072       100       X         28-5284     100
                                                        30,432       600       X      X  28-5284     200               400
MIDDLESEX WATER CO        COM            596680108     101,007     5,333       X      X  28-5284              5333
MIDLAND CO                COM            597486109     351,788    11,250       X         28-5284   11250
                                                           625        20       X      X  28-1500      20
MIDWAY GAMES INC          COM            598148104      23,100     2,200       X      X  28-5284                      2200
MILACRON INC              COM            598709103   2,140,253   631,343       X         28-5284  631343
                                                     1,264,582   373,033       X      X  28-5284  371568      1465
MILLENNIUM
PHARMACEUTICALS I         COM            599902103      35,570     2,930       X         28-5284    2930
                                                       165,553    13,637       X      X  28-5284   13637
                                                       158,014    13,016       X         28-1500   13016
MILLENNIUM BANKSHARES
CORP                      COM            60037B106     315,000    35,000       X      X  28-5284   35000
MILLENNIUM CELL INC       COM            60038B105       6,400     5,000       X         28-5284    5000
MILLER HERMAN INC         COM            600544100      84,437     3,056       X         28-5284    3056
MILLIPORE CORP            COM            601073109     287,703     5,776       X         28-5284    5776
                                                       479,770     9,632       X      X  28-5284    2300      7332
MILLS CORP                COM            601148109     168,071     2,636       X         28-5284    2636
                                                       172,152     2,700       X      X  28-5284    2700
MINDSPEED TECHNOLOGIES
INC                       COM            602682106       1,871       673       X         28-5284     673
                                                         5,718     2,057       X      X  28-5284    1477       381     199
MINE SAFETY APPLIANCES CO COM            602720104   4,322,175    85,250       X         28-5284   85250
                                                       140,287     2,767       X      X  28-5284    1517              1250
0            COLUMN TOTAL                          173,733,371
0
0
0




1                                                               FILE NO. 28-1235
PAGE 112 OF 183                                                   AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- ------- --------- -------
                                                                                       
MISSION RESOURCES CORP    COM            605109107       2,984       511       X      X  28-5284               511
MISSION WEST PPTYS INC    COM            605203108       5,320       500       X      X  28-5284               500
MITSUBISHI TOKYO FINL
GROUP                     SPONSORED ADR  606816106       2,913       285       X         28-5284     285
MOBIUS MGMT SYSTEMS INC   COM            606925105      43,500     6,000       X         28-5284    6000
MOBILE MINI INC           COM            60740F105       5,022       152       X         28-1500     152
MOLEX INC                 COM            608554101     130,740     4,358       X         28-5284    4358
                                                        14,610       487       X      X  28-5284     487
MOLEX INC                 CL A           608554200      78,484     2,945       X         28-5284    2945
                                                        63,267     2,374       X      X  28-5284    2374
MONEYGRAM INTL INC        COM            60935Y109      74,709     3,534       X         28-5284    3424               110
                                                         1,057        50       X      X  28-5284      50
                                                         4,228       200       X      X  28-4580     200
MONROE BANCORP            COM            610313108       7,659       422       X         28-1500     422
MONSANTO CO NEW           COM            61166W101   1,929,640    34,737       X         28-5284   33848       284     605
                                                     2,243,053    40,379       X      X  28-5284   31359      6965    2055
                                                        18,943       341       X         28-4580     341
                                                        58,827     1,059       X      X  28-4580    1059
MONSTER WORLDWIDE INC     COM            611742107     908,381    27,003       X         28-5284   27003
MONTGOMERY STR INCOME
SECS I                    COM            614115103      31,946     1,740       X         28-5284    1740
                                                        22,014     1,199       X      X  28-5284              1199
MOODYS CORP               COM            615369105  65,471,438   753,845       X         28-5284  716760      5155   31930
                                                    29,013,893   334,069       X      X  28-5284  241767     64721   27581
                                                     1,009,718    11,626       X         28-4580   11145               481
                                                       883,612    10,174       X      X  28-4580    8844      1330
MOOG INC                  CL A           615394202       1,678        37       X         28-5284      37
MORGAN STANLEY EMER
MKTS FD                   COM            61744G107      49,196     2,800       X         28-5284    2800
MORGAN STANLEY EMER
MKTS DEB                  COM            61744H105      51,414     5,350       X      X  28-5284              5350
                                                        14,626     1,522       X         28-4580    1522
0            COLUMN TOTAL                          102,142,872
0
0
0




1                                                               FILE NO. 28-1235
PAGE 113 OF 183                                                   AS OF 12/31/04

     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 HIGH
   YIELD FD               COM            61744M104      23,436     3,600       X      X  28-5284    3600
MORGAN STANLEY ASIA
   PAC FD I               COM            61744U106       6,751       527       X         28-5284     527
                                                        34,408     2,686       X      X  28-5284    2686
MORGAN STANLEY            COM NEW        617446448  91,599,450 1,649,846       X         28-5284 1509378     18218  122250
                                                    45,473,323   819,044       X      X  28-5284  490956    297468   30620
                                                     1,338,532    24,109       X         28-1500   19548      4561
                                                     1,984,063    35,736       X         28-4580   35195               541
                                                       839,018    15,112       X      X  28-4580   13054      1892     166
                                                       155,456     2,800       X                    2800
MORGAN STANLEY INDIA
   INVS FD                COM            61745C105      40,867     1,320       X         28-5284    1320
MORGAN STANLEY            GOVT INCOME TR 61745P106       1,758       200       X         28-5284     200
                                                       105,480    12,000       X      X  28-5284             12000
MORGAN STANLEY            MUN PREM INCOM 61745P429      74,210     8,200       X      X  28-5284    6100      2100
MORGAN STANLEY            MUN INCM OPPTN 61745P452       7,581     1,000       X      X  28-4580    1000
MORGAN STANLEY            QULTY MUN SECS 61745P585      21,045     1,500       X      X  28-4580    1500
MORGAN STANLEY            QUALT MUN INCM 61745P734     158,526    11,734       X         28-5284   11734
                                                        19,590     1,450       X         28-4580    1450
MORGAN STANLEY            INSD MUN INCM  61745P791     187,650    13,500       X         28-5284   13500
                                                       278,000    20,000       X      X  28-5284   20000
                                                        32,373     2,329       X      X  28-4580    2329
MORGAN STANLEY            INSD MUN TR    61745P866       6,830       500       X         28-5284     500
                                                         8,196       600       X      X  28-5284               600
MORGAN STANLEY            INCOME SEC INC 61745P874       7,842       496       X         28-5284     496
MOSAIC CO                 COM            61945A107         212        13       X         28-5284      13
                                                       122,400     7,500       X      X  28-5284    7400       100
MOTOROLA INC              COM            620076109  18,441,049 1,072,154       X         28-5284  995665      6885   69604
                                                    18,061,256 1,050,073       X      X  28-5284  818035    200838   31200
                                                       271,846    15,805       X      X  28-1500   15805
                                                       375,992    21,860       X         28-4580   21860
                                                       196,768    11,440       X      X  28-4580   11190       250
0            COLUMN TOTAL                          179,873,908
0
0
0




1                                                               FILE NO. 28-1235
PAGE 114 OF 183                                                   AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- ------- --------- -------
                                                                                         
MOVIE GALLERY INC         COM            624581104       1,907       100       X      X  28-5284     100
MUELLER INDS INC          COM            624756102      53,710     1,668       X         28-5284    1668
                                                         4,894       152       X      X  28-5284               152
MULTI COLOR CORP          COM            625383104       3,540       200       X         28-5284                       200
MUNIHOLDINGS N Y
   INSD FD INC            COM            625931100      39,649     2,820       X      X  28-5284    2820
MUNICIPAL HIGH INCOME
   FD INC                 COM            626214100      61,025     8,535       X         28-5284    8535
MUNICIPAL MTG & EQUITY
   L L C                  GROWTH SHS     62624B101       5,197       191       X      X  28-5284     191
MUNIHOLDINGS FLA
   INSD FD                COM            62624W105       6,916       455       X         28-5284     455
                                                       141,922     9,337       X      X  28-5284    9337
MUNIYIELD CALIF INS FD    COM            62629L104      30,112     2,259       X         28-5284    2259
MUNIVEST FD II INC        COM            62629P105      50,795     3,333       X      X  28-5284    3333
MUNIVEST FD INC           COM            626295109      18,920     2,000       X      X  28-5284    2000
                                                         4,730       500       X         28-4580                       500
MUNIYIELD FD INC          COM            626299101       5,560       400       X         28-5284     400
                                                       164,256    11,817       X      X  28-5284   11817
MUNIYIELD INSD FD INC     COM            62630E107      29,799     2,100       X         28-5284    2100
                                                        59,116     4,166       X      X  28-5284    4166
                                                        19,057     1,343       X         28-4580    1343
MUNIYIELD PA INSD FD      COM            62630V109     299,440    18,715       X      X  28-5284   18715
                                                       396,256    24,766       X         28-4580   24766
                                                        34,128     2,133       X      X  28-4580    2133
MUNIYIELD QUALITY FD INC  COM            626302103      31,169     2,166       X      X  28-5284    1166      1000
MURPHY OIL CORP           COM            626717102      49,477       615       X         28-5284     615
                                                        16,090       200       X      X  28-5284     200
MYERS INDS INC            COM            628464109     200,922    15,697       X         28-5284   15697
MYKROLIS CORP             COM            62852P103      43,870     3,096       X         28-5284    3096
                                                        35,779     2,525       X      X  28-5284     947      1578
0            COLUMN TOTAL                            1,808,236
0
0
0




1                                                               FILE NO. 28-1235
PAGE 115 OF 183                                                   AS OF 12/31/04

     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     472,622    26,732       X         28-5284   26732
                                                       468,962    26,525       X      X  28-5284    9475      8375    8675
                                                        43,758     2,475       X      X  28-4580     450      2025
MYRIAD GENETICS INC       COM            62855J104      15,757       700       X      X  28-1500     700
MYOGEN INC                COM            62856E104      30,230     3,746       X         28-5284    3397               349
NBC CAP CORP              COM            628729105     106,280     4,000       X         28-5284    1000              3000
                                                       239,130     9,000       X      X  28-5284    9000
NBT BANCORP INC           COM            628778102     469,004    18,235       X         28-5284   16647      1588
                                                       302,210    11,750       X      X  28-5284   11750
NBTY INC                  COM            628782104       9,604       400       X         28-5284     400
                                                        72,030     3,000       X      X  28-5284    3000
NCO GROUP INC             COM            628858102  12,240,130   473,506       X         28-5284                    473506
NCR CORP NEW              COM            62886E108     134,306     1,940       X         28-5284    1698               242
                                                        88,268     1,275       X      X  28-5284     569       608      98
                                                        14,677       212       X         28-4580     212
NEC CORP                  ADR            629050204      12,260     2,000       X      X  28-5284              2000
NGAS RESOURCES INC        COM            62912T103      93,685    20,500       X         28-5284                     20500
NL INDS INC               COM NEW        629156407       2,210       100       X         28-5284     100
NSD BANCORP INC           COM            62938D108     335,795     9,215       X         28-5284    9215
                                                       109,320     3,000       X      X  28-5284                      3000
NTL INC DEL               *W EXP 01/13/2 62940M138       7,980     1,995       X         28-5284    1995
NTT DOCOMO INC            SPONS ADR      62942M201       1,173        63       X         28-5284      63
NVR INC                   COM            62944T105      17,696        23       X      X  28-5284      23
NYMAGIC INC               COM            629484106       2,404        95       X         28-5284      95
NABI BIOPHARMACEUTICALS   COM            629519109       1,758       120       X         28-5284     120
0            COLUMN TOTAL                           15,291,249
0
0
0




1                                                               FILE NO. 28-1235
PAGE 116 OF 183                                                   AS OF 12/31/04

     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     105,400     1,000       X         28-5284                      1000
                                                     2,105,365    19,975       X      X  28-5284   19975
NAM TAI ELECTRS INC       COM PAR $0.02  629865205     125,125     6,500       X      X  28-5284    6500
NANOGEN INC               COM            630075109       6,109       830       X      X  28-5284     830
NANOPHASE TCHNOLOGIES
   CORP                   COM            630079101         177        20       X         28-5284      20
NASDAQ 100 TR             UNIT SER 1     631100104   6,096,258   152,731       X         28-5284  149481              3250
                                                    14,748,114   369,488       X      X  28-5284  346763      7545   15180
                                                        65,061     1,630       X      X  28-1500    1630
                                                        96,395     2,415       X      X  28-4580    2415
                                                     2,981,651    74,700       X                   74700
NASTECH PHARMACEUTICAL
   INC                    COM PAR $0.006 631728409      36,300     3,000       X      X  28-1500    3000
NATIONAL AUSTRALIA BK LTD CAP UTS EXCHBL 632525309      79,674     2,100       X         28-5284    2100
                                                        75,880     2,000       X      X  28-5284    2000
NATIONAL BANKSHARES INC
   VA                     COM            634865109   6,987,834   130,200       X         28-1500  130200
NATIONAL CITY CORP        COM            635405103  73,911,167 1,968,340       X         28-5284 1558210     30475  379655
                                                    20,430,692   544,093       X      X  28-5284  403688     78989   61416
                                                    11,393,684   303,427       X         28-1500  300025      3402
                                                       314,819     8,384       X         28-4580    8384
                                                       237,166     6,316       X      X  28-4580    6316
NATIONAL HEALTH REALTY
   INC                    COM            635905102      10,005       500       X      X  28-5284     500
NATIONAL FUEL GAS CO N J  COM            636180101     400,331    14,126       X         28-5284   13062              1064
                                                       273,849     9,663       X      X  28-5284    6781              2882
NATIONAL GRID TRANSCO PLC SPONSORED ADR  636274102       2,639        55       X         28-5284      55
                                                           912        19       X      X  28-5284      19
NATIONAL HEALTH INVS INC  COM            63633D104      50,336     1,725       X      X  28-1500    1725
NATIONAL MED HEALTH CARD
   SYS                    COM NEW        636918302     302,623    13,100       X      X  28-5284   13100
NATIONAL PENN BANCSHARES
   INC                    COM            637138108      59,195     2,137       X         28-5284     137              2000
                                                        34,625     1,250       X      X  28-5284              1250
NATIONAL SEMICONDUCTOR
   CORP                   COM            637640103      79,734     4,442       X         28-5284    4442
0            COLUMN TOTAL                          141,011,120
0
0
0




1                                                               FILE NO. 28-1235
PAGE 117 OF 183                                                   AS OF 12/31/04

     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 WESTMINSTER BK
   PLC                    ADR REP PREF B 638539700      38,115     1,500       X         28-5284    1500
                                                        48,279     1,900       X      X  28-5284    1900
NATIONWIDE FINL SVCS INC  CL A           638612101     272,351     7,124       X         28-5284    6822               302
                                                       206,786     5,409       X      X  28-5284     408      5001
                                                        19,497       510       X      X  28-1500     510
NATIONWIDE HEALTH PPTYS
   INC                    COM            638620104     848,540    35,728       X         28-5284   35728
                                                       123,500     5,200       X      X  28-5284              5200
NATUS MEDICAL INC DEL     COM            639050103       4,000       500       X      X  28-5284     500
NAUTILUS GROUP INC        COM            63910B102      10,877       450       X         28-5284     450
NAVISTAR INTL CORP NEW    COM            63934E108      35,184       800       X         28-5284     800
NEENAH PAPER INC          COM            640079109     722,807    22,172       X         28-5284   21460        17     695
                                                       485,610    14,896       X      X  28-5284   12485      1700     711
                                                         2,673        82       X         28-1500       1        81
                                                         1,793        55       X         28-4580      55
                                                         8,932       274       X      X  28-4580     274
NEIMAN MARCUS GROUP INC   CL A           640204202       6,439        90       X      X  28-1500      90
NEIMAN MARCUS GROUP INC   CL B           640204301     100,601     1,506       X      X  28-5284    1506
NEOGEN CORP               COM            640491106      14,156       625       X      X  28-5284     625
NEOSE TECHNOLOGIES INC    COM            640522108         672       100       X         28-5284     100
                                                        33,600     5,000       X      X  28-5284    5000
NETBANK INC               COM            640933107          42         4       X         28-1500       4
NET2PHONE                 COM            64108N106         201        59       X         28-1500      59
NETFLIX COM INC           COM            64110L106      10,776       874       X      X  28-5284     474       400
NETWORK APPLIANCE INC     COM            64120L104     359,773    10,830       X         28-5284   10830
                                                       250,678     7,546       X      X  28-5284    4246              3300
                                                        19,035       573       X         28-1500     573
NETWORK ENGINES INC       COM            64121A107      11,160     4,000       X      X  28-1500    4000
0            COLUMN TOTAL                            3,636,077
0
0
0




1                                                               FILE NO. 28-1235
PAGE 118 OF 183                                                   AS OF 12/31/04

     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 AMER HIGH INCOME FD
   INC                    COM            641876107       4,446     2,030       X         28-5284    2030
NEW CENTURY FINANCIAL
   CORP M                 COM            6435EV108      63,910     1,000       X         28-5284    1000
NEW JERSEY RES            COM            646025106      67,654     1,561       X         28-5284    1336       225
                                                       312,438     7,209       X      X  28-5284    1450      4559    1200
NEW PLAN EXCEL RLTY TR
   INC                    COM            648053106     181,111     6,688       X         28-5284    6688
                                                       745,242    27,520       X      X  28-5284   16550     10970
NEW YORK CMNTY BANCORP
   INC                    COM            649445103   7,692,419   373,963       X         28-5284  340970     26748    6245
                                                     5,181,377   251,890       X      X  28-5284  147963     92161   11766
                                                       123,420     6,000       X      X  28-1500    6000
                                                        54,819     2,665       X         28-4580    2665
                                                         7,817       380       X      X  28-4580               380
NEW YORK TIMES CO         CL A           650111107     544,476    13,345       X         28-5284   13345
                                                       333,540     8,175       X      X  28-5284    5175              3000
NEWCASTLE INVT CORP       COM            65105M108       9,343       294       X      X  28-5284               294
NEWELL RUBBERMAID INC     COM            651229106   8,183,791   338,313       X         28-5284  298826      7715   31772
                                                     8,122,204   335,767       X      X  28-5284  109133     57039  169595
                                                        36,285     1,500       X         28-1500              1500
                                                        11,853       490       X         28-4580     490
                                                        26,609     1,100       X      X  28-4580    1100
NEWFIELD EXPL CO          COM            651290108      29,525       500       X         28-5284                       500
                                                         1,535        26       X      X  28-5284      14        12
NEWMONT MINING CORP       COM            651639106   2,879,234    64,833       X         28-5284   60440      3030    1363
                                                     3,295,533    74,207       X      X  28-5284   60064     11178    2965
                                                        73,987     1,666       X         28-4580    1666
                                                       207,128     4,664       X      X  28-4580    4664
NEWPORT CORP              COM            651824104      21,658     1,536       X         28-5284    1536
NEWS CORP                 CL A           65248E104      58,630     3,142       X         28-5284    3004        24     114
                                                       137,897     7,390       X      X  28-5284    3332      3478     580
                                                         4,665       250       X      X  28-1500     250
                                                           896        48       X      X  28-4580      48
0            COLUMN TOTAL                           38,413,442
0
0
0




1                                                               FILE NO. 28-1235
PAGE 119 OF 183                                                   AS OF 12/31/04

     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                 CL B           65248E203     185,971     9,686       X         28-5284    9368               318
                                                        70,272     3,660       X      X  28-5284    2260     1400
NEXMED INC                COM            652903105         450       300       X         28-5284     300
NEXTEL COMMUNICATIONS INC CL A           65332V103   3,981,277   132,665       X         28-5284   82523             50142
                                                     2,537,045    84,540       X      X  28-5284   10910     3330    70300
                                                        13,565       452       X         28-1500     452
                                                        30,010     1,000       X         28-4580                      1000
                                                        42,014     1,400       X      X  28-4580    1400
NEXEN INC                 COM            65334H102          41         1       X         28-5284       1
NICHOLAS-APPLEGATE CV &
   INC                    COM            65370F101      51,171     3,077       X         28-5284    3077
NICHOLAS APPLEGATE CV&INC
   FD                     COM            65370G109       5,300       335       X         28-5284     335
NICOR INC                 COM            654086107     244,801     6,627       X         28-5284    6627
                                                        70,186     1,900       X      X  28-5284    1900
NIKE INC                  CL B           654106103  12,967,038   142,982       X         28-5284   94978             48004
                                                       380,898     4,200       X      X  28-5284    3800               400
                                                     1,989,557    21,938       X         28-1500   21938
99 CENTS ONLY STORES      COM            65440K106      52,617     3,256       X         28-5284    3256
NIPPON TELEG & TEL CORP   SPONSORED ADR  654624105       1,240        55       X         28-5284      55
                                                         6,765       300       X      X  28-5284     300
NISOURCE INC              COM            65473P105     554,442    24,339       X         28-5284   20707      632     3000
                                                     1,681,916    73,833       X      X  28-5284   66383     6250     1200
                                                         4,009       176       X      X  28-4580     176
NISSAN MOTORS             SPONSORED ADR  654744408      21,240       969       X         28-5284     969
NOKIA CORP                SPONSORED ADR  654902204  21,508,579 1,372,596       X         28-5284 1248179    10945   113472
                                                     9,699,683   618,997       X      X  28-5284  464016   126934    28047
                                                       637,111    40,658       X         28-1500   40658
                                                       354,706    22,636       X      X  28-1500   22636
                                                        69,935     4,463       X         28-4580    4463
                                                        85,715     5,470       X      X  28-4580    2000     3470
0            COLUMN TOTAL                           57,247,554
0
0
0




1                                                               FILE NO. 28-1235
PAGE 120 OF 183                                                   AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- ------- --------- -------
                                                                                      
NOBLE ENERGY INC          COM            655044105     125,046    2,028        X         28-5284    2028
                                                        50,561      820        X      X  28-5284     600      220
NORAM ENERGY CORP         SDCV  6.000% 3 655419AC3   2,250,000   22,500        X      X  28-5284            22500
NORANDA INC               COM            655422103      70,400    4,000        X      X  28-5284    4000
NORDSON CORP              COM            655663102     848,162   21,167        X         28-5284   21167
NORDSTROM INC             COM            655664100  11,206,789  239,820        X         28-5284  228985      600    10235
                                                     1,790,133   38,308        X      X  28-5284   27328     8490     2490
                                                       187,013    4,002        X         28-4580    3680               322
                                                        87,385    1,870        X      X  28-4580    1870
NORFOLK SOUTHERN CORP     COM            655844108  13,743,623  379,763        X         28-5284  316740    58305     4718
                                                    18,203,968  503,011        X      X  28-5284  163760   138622   200629
                                                        22,619      625        X      X  28-1500     625
                                                        41,619    1,150        X         28-4580    1150
                                                        33,041      913        X      X  28-4580     913
NORSK HYDRO A S           SPONSORED ADR  656531605     585,126    7,433        X         28-5284    7378       55
                                                        39,360      500        X      X  28-5284              500
NORTEL NETWORKS CORP NEW  COM            656568102     237,483   68,439        X         28-5284   66539     1500      400
                                                       338,044   97,419        X      X  28-5284   93239     2930     1250
                                                        20,473    5,900        X      X  28-1500    5900
                                                         1,735      500        X      X  28-4580     500
NORTH AMERN PALLADIUM LTD COM            656912102          16        2        X         28-5284       2
NORTH EUROPEAN OIL RTY TR SH BEN INT     659310106   1,750,941   77,100        X         28-5284   24900             52200
                                                       156,699    6,900        X      X  28-5284    1700              5200
NORTH FORK BANCORPORATION
   NY                     COM            659424105   8,470,360  293,600        X         28-5284  293490      110
                                                       710,200   24,617        X      X  28-5284    7650    16167      800
NORTH PITTSBURGH SYS INC  COM            661562108      72,212    2,920        X      X  28-5284    2920
NORTHEAST PA FINL CORP    COM            663905107      34,722    1,535        X         28-5284    1535
NORTHEAST UTILS           COM            664397106      11,310      600        X         28-5284     600
                                                        69,085    3,665        X      X  28-5284    3465      200
0            COLUMN TOTAL                           61,158,125
0
0
0




1                                                               FILE NO. 28-1235
PAGE 121 OF 183                                                   AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- ------- --------- -------
                                                                                        
NORTHERN BORDER PARTNERS
   L P                    UNIT LTD PARTN 664785102      37,340      775        X         28-5284     775
                                                        89,133    1,850        X      X  28-5284     500      1350
NORTHERN TR CORP          COM            665859104   1,420,771   29,246        X         28-5284   29246
                                                     2,845,574   58,575        X      X  28-5284   58575
                                                         3,206       66        X      X  28-1500      66
NORTHFIELD LABS INC       COM            666135108       2,729      121        X         28-1500     121
NORTHRIM BANCORP INC      COM            666762109   7,124,605  302,018        X         28-1500  302018
NORTHROP GRUMMAN CORP     COM            666807102   3,308,404   60,861        X         28-5284   56365      4496
                                                     4,816,296   88,600        X      X  28-5284   40068     43176    5356
                                                        17,395      320        X      X  28-1500     320
                                                        62,623    1,152        X         28-4580    1152
                                                       146,663    2,698        X      X  28-4580    2698
NORTHWEST BANCORP INC PA  COM            667328108      50,180    2,000        X         28-5284    2000
                                                         2,609      104        X      X  28-5284     104
NORTHWEST NAT GAS CO      COM            667655104     101,220    3,000        X         28-5284    3000
                                                       124,838    3,700        X      X  28-5284    1000      2700
NORWOOD FINANCIAL CORP    COM            669549107     160,489    4,540        X         28-5284    4540
                                                         8,838      250        X      X  28-5284     250
NOVA CHEMICALS CORP       COM            66977W109      14,190      300        X         28-5284     300
                                                        23,650      500        X      X  28-5284     500
NOVARTIS A G              SPONSORED ADR  66987V109     309,760    6,129        X         28-5284    4429              1700
                                                       123,823    2,450        X      X  28-5284    1550       600     300
                                                        42,251      836        X      X  28-1500     836
NOVASTAR FINL INC         COM            669947400     158,400    3,200        X      X  28-1500    3200
NOVELL INC                COM            670006105      26,818    3,973        X         28-5284    3973
NOVELLUS SYS INC          COM            670008101      41,835    1,500        X         28-5284    1500
NOVO-NORDISK A S          ADR            670100205     436,793    8,050        X         28-5284    8050
                                                       502,176    9,255        X      X  28-5284     495      8760
NSTOR TECHNOLOGIES INC    COM            67018N108       3,680   16,000        X         28-5284   16000
0            COLUMN TOTAL                           22,006,289
0
0
0




1                                                               FILE NO. 28-1235
PAGE 122 OF 183                                                   AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- ------- --------- -------
                                                                                        
NSTAR                     COM            67019E107      42,718       787       X         28-5284     787
                                                        16,555       305       X      X  28-5284     150       155
NUCOR CORP                COM            670346105     726,846    13,887       X         28-5284   11137              2750
                                                       659,484    12,600       X      X  28-5284   11800       800
NUVEEN PREM INCOME MUN FD
   4                      COM            6706K4105      37,991     3,114       X         28-5284    3114
                                                        17,239     1,413       X      X  28-5284     666       747
NUVEEN CONN PREM INCOME
   MUN                    SH BEN INT     67060D107      15,210     1,000       X         28-5284    1000
NUTRACEUTICAL INTL CORP   COM            67060Y101       3,082       200       X      X  28-5284     200
                                                           616        40       X         28-1500      40
NUVEEN PA PREM INCOME MUN
   FD                     COM            67061F101     170,460    10,955       X         28-5284   10955
                                                       216,082    13,887       X      X  28-5284    7804      6083
                                                       922,335    59,276       X         28-4580   59276
NUVEEN MD PREM INCOME MUN
   FD                     COM            67061Q107      49,440     3,000       X      X  28-5284    3000
NUVEEN SELECT MAT MUN FD  SH BEN INT     67061T101       9,471     1,014       X         28-5284    1014
                                                        21,482     2,300       X      X  28-5284              2300
                                                        16,345     1,750       X         28-4580    1750
NUVEEN INVT QUALITY MUN
   FD I                   COM            67062E103      39,933     2,700       X         28-5284    2700
                                                        81,005     5,477       X      X  28-5284    1955      3522
NUVEEN SELECT TAX FREE
   INCM                   SH BEN INT     67062F100       1,334       100       X         28-5284     100
NUVEEN MUN ADVANTAGE FD
   INC                    COM            67062H106      56,634     3,704       X         28-5284    3704
                                                       126,907     8,300       X      X  28-5284    8300
NUVEEN MUN INCOME FD INC  COM            67062J102     182,225    18,500       X         28-5284   16000              2500
                                                       122,830    12,470       X      X  28-5284    7970      4500
NUVEEN INSD QUALITY MUN
   FD I                   COM            67062N103      12,456       800       X         28-4580     800
NUVEEN PERFORMANCE PLUS
   MUN                    COM            67062P108     227,913    15,729       X         28-5284   15729
                                                       136,206     9,400       X      X  28-5284     400      7500    1500
NUVEEN PREM INCOME MUN FD COM            67062T100      36,809     2,650       X         28-5284    2650
                                                        63,894     4,600       X      X  28-5284              4600
0            COLUMN TOTAL                            4,013,502
0
0
0




1                                                               FILE NO. 28-1235
PAGE 123 OF 183                                                   AS OF 12/31/04

     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 MKT
   OPPORTUNITY F          COM            67062W103     269,604    19,148       X         28-5284   19148
                                                        16,023     1,138       X      X  28-5284    1138
NUVEEN SELECT TAX FREE
   INCM                   SH BEN INT     67063C106      91,070     7,000       X      X  28-5284    7000
NUVEEN PREM INCOME MUN FD
   2                      COM            67063W102      14,080     1,000       X         28-5284    1000
                                                        46,915     3,332       X      X  28-5284    3332
NVIDIA CORP               COM            67066G104     331,560    14,073       X         28-5284   14073
                                                        11,780       500       X      X  28-5284     500
                                                        40,665     1,726       X         28-1500    1726
NUVEEN DIVID ADVANTAGE
   MUN F                  COM            67066V101      19,331     1,300       X         28-5284    1300
                                                        44,610     3,000       X      X  28-5284    2000              1000
NUVEEN SR INCOME FD       COM            67067Y104      34,891     3,700       X         28-5284    3700
NUVEEN MUN HIGH INC OPP
   FD                     COM            670682103     100,188     6,600       X      X  28-5284    6600
NUVEEN MASS DIVID
   ADVANTAG M             COM SH BEN INT 67069P101      34,540     2,140       X      X  28-5284              2140
NUVEEN PA DIV ADVANTAGE
   MUN                    COM            67070E103      51,809     3,210       X         28-5284    3210
                                                        32,280     2,000       X      X  28-5284                      2000
NUVEEN QUALITY PFD INCOME
   FD                     COM            67071S101     366,366    26,169       X         28-5284   25369       800
                                                        47,642     3,403       X      X  28-5284    3403
NUVEEN NEW JERSEY DIVID   COM            67071T109      26,649     1,779       X         28-5284    1779
                                                        49,434     3,300       X      X  28-5284    3300
NUVEEN PA DIVID ADVANTAGE
   MU                     COM            67071W102      51,695     3,500       X      X  28-5284    2500              1000
NYFIX INC                 COM            670712108      30,950     5,000       X         28-5284    5000
                                                        97,431    15,740       X         28-1500   15740
NUVEEN QUALITY PFD INCOME
   FD                     COM            67072C105     457,200    31,750       X         28-5284   29950      1500     300
                                                        90,403     6,278       X      X  28-5284    4218        60    2000
NUVEEN QUALITY PFD INC FD
   3                      COM            67072W101       5,776       400       X         28-5284     400
NUVEEN PFD & CONV INC FD  COM            67073B106      90,766     6,334       X         28-5284    6334
                                                        54,124     3,777       X      X  28-5284    3777
0            COLUMN TOTAL                            2,507,782
0
0
0




1                                                               FILE NO. 28-1235
PAGE 124 OF 183                                                   AS OF 12/31/04

     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 PFD & CONV INCOME
   FD                     COM SHS        67073D102      35,244     2,541       X         28-5284    2541
                                                        10,056       725       X      X  28-5284               725
O CHARLEYS INC            COM            670823103      19,550     1,000       X      X  28-1500    1000
OGE ENERGY CORP           COM            670837103     156,462     5,902       X         28-5284    4902      1000
                                                       116,644     4,400       X      X  28-5284    4400
OM GROUP INC              COM            670872100      22,046       680       X         28-5284     680
NUVEEN MUN VALUE FD INC   COM            670928100   2,873,254   312,650       X         28-5284  306000              6650
                                                       318,792    34,689       X      X  28-5284   12283     16906    5500
                                                         5,974       650       X         28-4580     650
NUVEEN FLA INVT QUALITY
   MUN                    COM            670970102      50,193     3,300       X         28-5284    3300
NUVEEN NJ INVT QUALITY
   MUN F                  COM            670971100     135,341     8,869       X         28-5284    8869
                                                       170,546    11,176       X      X  28-5284   11176
NUVEEN PA INVT QUALITY
   MUN F                  COM            670972108     311,030    20,289       X         28-5284   20289
                                                       713,566    46,547       X      X  28-5284   15634     30674     239
NUVEEN SELECT QUALITY MUN
   FD                     COM            670973106     199,202    13,236       X         28-5284   13236
                                                       240,800    16,000       X      X  28-5284   16000
NUVEEN CA SELECT QUALITY
   MUN                    COM            670975101      86,220     6,000       X      X  28-5284                      6000
NUVEEN NY SELECT QUALITY
   MUN                    COM            670976109      62,883     4,078       X      X  28-5284              4078
NUVEEN QUALITY INCOME MUN
   FD                     COM            670977107     242,556    17,166       X         28-5284   17166
                                                        26,451     1,872       X      X  28-5284     666      1206
NUVEEN FLA QUALITY INCOME
   MU                     COM            670978105      52,870     3,400       X         28-5284    3400
NUVEEN OHIO QUALITY
   INCOME M               COM            670980101      20,332     1,089       X      X  28-5284              1089
NUVEEN INSD MUN
   OPPORTUNITY            COM            670984103      73,284     4,650       X         28-5284    4650
NUVEEN CALIF QUALITY INCM
   MU                     COM            670985100      88,260     6,000       X      X  28-5284                      6000
NUVEEN PREMIER MUN INCOME
   FD                     COM            670988104     183,480    13,200       X         28-5284   13200
0            COLUMN TOTAL                            6,215,036
0
0
0




1                                                               FILE NO. 28-1235
PAGE 125 OF 183                                                   AS OF 12/31/04

     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 NJ PREM INCOME
   MUN FD                 COM            67101N106     317,318    20,058       X         28-5284   20058
                                                        89,304     5,645       X      X  28-5284    5645
NUVEEN INSD NY PREM
   INCOME F               COM            67101R107      55,797     3,683       X      X  28-5284    3683
NUVEEN INSD FLA PREM
   INCOME                 COM            67101V108      70,290     4,374       X         28-5284    4374
                                                         6,010       374       X      X  28-5284     374
OSI PHARMACEUTICALS INC   COM            671040103       4,566        61       X         28-5284      61
                                                            75         1       X      X  28-1500       1
OSI SYSTEMS INC           COM            671044105       6,813       300       X         28-5284     300
OYO GEOSPACE CORP         COM            671074102      28,095     1,500       X      X  28-5284              1500
OAK HILL FINL INC         COM            671337103      77,580     2,000       X         28-5284    2000
OAKLEY INC                COM            673662102      49,725     3,900       X         28-5284    3900
OCCIDENTAL PETE CORP DEL  COM            674599105     368,894     6,321       X         28-5284    5521               800
                                                     1,645,577    28,197       X      X  28-5284    3982      8351   15864
                                                        87,248     1,495       X      X  28-1500    1495
                                                        11,380       195       X         28-4580     195
OCEANEERING INTL INC      COM            675232102      37,320     1,000       X         28-5284                      1000
OCEANFIRST FINL CORP      COM            675234108      18,488       750       X         28-5284     750
OCULAR SCIENCES INC       COM            675744106       4,901       100       X      X  28-5284     100
OFFICEMAX INC DEL         COM            67622P101      11,328       361       X         28-5284     361
OFFICE DEPOT INC          COM            676220106      29,512     1,700       X         28-5284    1700
OFFSHORE LOGISTICS INC    COM            676255102       6,494       200       X      X  28-5284     200
OHIO CAS CORP             COM            677240103     192,643     8,300       X         28-5284    8300
                                                        24,835     1,070       X      X  28-5284     570               500
                                                     1,060,697    45,700       X      X  28-1500   45700
OIL SVC HOLDRS TR         DEPOSTRY RCPT  678002106      21,863       257       X      X  28-4580      82               175
OLD DOMINION FGHT LINES
   INC                    COM            679580100      13,050       375       X      X  28-1500     375
0            COLUMN TOTAL                            4,239,803
0
0
0




1                                                               FILE NO. 28-1235
PAGE 126 OF 183                                                   AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- ------- --------- -------
                                                                                      
OLD NATL BANCORP IND      COM            680033107     638,561    24,693       X         28-5284   22043              2650
OLD POINT FINL CORP       COM            680194107     757,307    21,793       X         28-1500   21793
OLD REP INTL CORP         COM            680223104  10,313,241   407,638       X         28-5284  388176      6890   12572
                                                     6,544,705   258,684       X      X  28-5284  137699    116448    4537
                                                       223,146     8,820       X         28-4580    8820
                                                        46,679     1,845       X      X  28-4580    1275       570
OLIN CORP                 COM PAR $1     680665205      87,706     3,983       X         28-5284    3983
                                                       267,631    12,154       X      X  28-5284    8345      3809
OLYMPIC STEEL INC         COM            68162K106      18,557       700       X      X  28-5284     700
OMNICARE INC              COM            681904108      73,706     2,129       X         28-5284    2129
                                                         9,001       260       X      X  28-5284      60               200
                                                        17,310       500       X      X  28-4580     500
OMNICOM GROUP INC         COM            681919106  60,954,000   722,889       X         28-5284  566938      9696  146255
                                                    26,199,489   310,715       X      X  28-5284  178317     96243   36155
                                                     4,198,546    49,793       X         28-1500   49793
                                                       224,881     2,667       X      X  28-1500    2667
                                                        70,407       835       X         28-4580     835
                                                        88,873     1,054       X      X  28-4580      54      1000
OMEGA FINL CORP           COM            682092101     198,755     5,798       X      X  28-5284    3000              2798
OMNIVISION TECHNOLOGIES
   INC                    COM            682128103      23,855     1,300       X         28-5284    1300
                                                        11,010       600       X      X  28-5284                       600
ONEOK INC NEW             COM            682680103       2,132        75       X         28-5284      75
ON2 TECHNOLOGIES INC      COM            68338A107         126       200       X         28-5284     200
ONVIA INC                 COM NEW        68338T403     156,053    24,692       X         28-1500   24692
ONYX PHARMACEUTICALS INC  COM            683399109      16,195       500       X         28-5284     500
OPEN JT STK CO-VIMPEL
   COMMUN                 SPONSORED ADR  68370R109      65,052     1,800       X      X  28-5284    1800
OPENWAVE SYS INC          COM NEW        683718308       7,730       500       X         28-5284     500
OPLINK COMMUNICATIONS INC COM            68375Q106       3,940     2,000       X      X  28-1500    2000
0            COLUMN TOTAL                          111,218,594
0
0
0




1                                                               FILE NO. 28-1235
PAGE 127 OF 183                                                   AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- ------- --------- -------
                                                                                       
OPPENHEIMER HLDGS INC     CL A NON VTG   683797104      38,295     1,500       X         28-5284    1500
OPTICARE HEALTH SYS INC   COM            68386P105         720     2,000       X         28-5284    2000
OPTIMAL GROUP INC         CL A NEW       68388R208       2,356       200       X         28-5284     200
ORACLE CORP               COM            68389X105  27,563,658 2,009,013       X         28-5284 1922022     12537   74454
                                                    13,725,378 1,000,392       X      X  28-5284  637793    304795   57804
                                                        54,331     3,960       X         28-1500     932      3028
                                                       442,648    32,263       X         28-4580   30629              1634
                                                       228,205    16,633       X      X  28-4580    8633      8000
OPPENHEIMER MULTI-SECTOR
   INC                    SH BEN INT     683933105     106,320    12,000       X         28-5284             12000
                                                         4,430       500       X      X  28-5284     500
ORASURE TECHNOLOGIES INC  COM            68554V108       6,720     1,000       X         28-5284    1000
                                                         6,720     1,000       X      X  28-5284    1000
                                                            67        10       X         28-1500      10
ORBITAL SCIENCES CORP     COM            685564106       3,549       300       X         28-5284     300
O REILLY AUTOMOTIVE INC   COM            686091109      12,164       270       X         28-5284     270
                                                         4,505       100       X      X  28-1500     100
ORIENTAL FINL GROUP INC   COM            68618W100   3,409,940   120,450       X         28-1500  120450
ORTHOLOGIC CORP           COM            68750J107         550        88       X         28-1500      88
ORTHOVITA INC             COM            68750U102       3,247       775       X         28-5284     775
OSCIENT PHARMACEUTICALS
   CORP                   COM            68812R105       1,825       500       X      X  28-5284     500
OSHKOSH TRUCK CORP        COM            688239201     136,760     2,000       X         28-5284    2000
                                                       188,045     2,750       X      X  28-5284    2750
OUTBACK STEAKHOUSE INC    COM            689899102      34,335       750       X         28-5284                       750
                                                        45,780     1,000       X      X  28-5284    1000
OVERSEAS SHIPHOLDING
   GROUP I                COM            690368105     800,400    14,500       X      X  28-5284   14500
OWENS ILL INC             COM NEW        690768403      38,505     1,700       X         28-5284    1700
PAB BANKSHARES INC        COM            69313P101   5,797,242   442,200       X         28-1500  442200
0            COLUMN TOTAL                           52,656,695
0
0
0




1                                                               FILE NO. 28-1235
PAGE 128 OF 183                                                   AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- ------- --------- -------
                                                                                      
PG&E CORP                 COM            69331C108      48,456     1,456       X         28-5284    1156       300
                                                        98,176     2,950       X      X  28-5284    2650       300
                                                     3,777,280   113,500       X                  113500
P F CHANGS CHINA BISTRO
  INC                     COM            69333Y108      33,810       600       X         28-5284     500               100
PICO HLDGS INC            COM NEW        693366205          21         1       X         28-5284       1
PLX TECHNOLOGY INC        COM            693417107      12,792     1,230       X      X  28-1500    1230
PMA CAP CORP              CL A           693419202     496,800    48,000       X         28-5284   48000
PMC-SIERRA INC            COM            69344F106      11,554     1,027       X         28-5284    1027
                                                         7,988       710       X      X  28-1500     710
PMI GROUP INC             COM            69344M101       4,175       100       X      X  28-5284     100
PNC FINL SVCS GROUP INC   COM            693475105 120,871,337 2,104,306       X         28-5284 2045247     14189   44870
                                                   137,453,058 2,392,985       X      X  28-5284 1153489    441492  798004
                                                     1,060,457    18,462       X         28-1500             18462
                                                     2,527,705    44,006       X         28-4580   43106               900
                                                     2,039,809    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      57,150       635       X         28-5284     635
                                                         2,250        25       X      X  28-5284      25
POSCO                     SPONSORED ADR  693483109      22,265       500       X      X  28-5284     500
PNM RES INC               COM            69349H107       6,070       240       X         28-5284     240
PPG INDS INC              COM            693506107  68,368,501 1,003,059       X         28-5284  971963     11760   19336
                                                    44,486,192   652,673       X      X  28-5284  437980    175725   38968
                                                     1,121,300    16,451       X         28-4580   15943               508
                                                     1,490,114    21,862       X      X  28-4580   21596       100     166
PPL CORP                  COM            69351T106  11,650,045   218,657       X         28-5284  191499     22548    4610
                                                    16,676,693   313,001       X      X  28-5284  181830    129071    2100
                                                       150,090     2,817       X         28-4580    2817
                                                        10,656       200       X      X  28-4580     200
PACCAR INC                COM            693718108     252,063     3,132       X         28-5284    3132
                                                       253,512     3,150       X      X  28-5284    3150
0            COLUMN TOTAL                          412,990,319
0
0
0




1                                                               FILE NO. 28-1235
PAGE 129 OF 183                                                   AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- ------- --------- -------
                                                                                        
PACHOLDER HIGH YIELD FD
   INC                    COM            693742108      16,350     1,665       X      X  28-5284    1665
PACIFIC CAP BANCORP NEW   COM            69404P101      50,985     1,500       X      X  28-5284                      1500
PACIFIC ENERGY PARTNERS
   L P                    COM UNIT       69422R105      57,840     2,000       X      X  28-5284              2000
PACIFIC SUNWEAR CALIF INC COM            694873100       2,226       100       X      X  28-5284               100
PACTIV CORP               COM            695257105      81,864     3,237       X         28-5284    3237
                                                        52,502     2,076       X      X  28-5284     300      1776
PALL CORP                 COM            696429307     207,282     7,160       X         28-5284    7160
                                                         5,790       200       X      X  28-5284     200
PALMONE INC               COM            69713P107         473        15       X         28-5284      15
                                                           789        25       X      X  28-5284      25
                                                         1,578        50       X      X  28-1500      50
PALMSOURCE INC            COM            697154102          51         4       X         28-5284       4
                                                            89         7       X      X  28-5284       7
                                                           191        15       X      X  28-1500      15
PAN AMERICAN SILVER CORP  COM            697900108       7,990       500       X         28-5284     500
                                                        15,980     1,000       X      X  28-5284    1000
PAN PACIFIC RETAIL PPTYS
   INC                    COM            69806L104      62,700     1,000       X         28-5284    1000
PANERA BREAD CO           CL A           69840W108       8,064       200       X         28-5284     200
                                                        12,499       310       X      X  28-5284     310
PAPA JOHNS INTL INC       COM            698813102      73,495     2,134       X         28-5284    2134
                                                        13,018       378       X      X  28-5284     378
                                                       396,749    11,520       X         28-1500   11520
PARAGON REAL EST EQT &
   INVT                   COM            69912Y107      12,000   100,000       X         28-5284  100000
PARAMETRIC TECHNOLOGY
   CORP                   COM            699173100       6,532     1,109       X         28-5284    1109
                                                        14,136     2,400       X      X  28-5284    1200              1200
PARK NATL CORP            COM            700658107     868,013     6,406       X         28-5284    6406
PARKE BK SEWELL NJ        COM            700886104     268,757    14,160       X      X  28-5284   14160
0            COLUMN TOTAL                            2,237,943
0
0
0




1                                                               FILE NO. 28-1235
PAGE 130 OF 183                                                   AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- ------- --------- -------
                                                                                       
PARKER DRILLING CO        COM            701081101       7,860     2,000       X      X  28-5284    2000
PARKER HANNIFIN CORP      COM            701094104     202,226     2,670       X         28-5284    2670
                                                       421,720     5,568       X      X  28-5284    1180      3500     888
PARKVALE FINL CORP        COM            701492100      27,408       952       X      X  28-5284               952
PARKWAY PPTYS INC         COM            70159Q104     253,750     5,000       X         28-5284                      5000
PARLUX FRAGRANCES INC     COM            701645103      31,472     1,400       X      X  28-1500    1400
PATHMARK STORES INC NEW   COM            70322A101         581       100       X      X  28-5284     100
PATINA OIL & GAS CORP     COM            703224105       6,375       170       X         28-5284     170
                                                       738,750    19,700       X      X  28-5284   19700
PATRIOT TRANSN HLDG INC   COM            70337B102       4,499       100       X      X  28-5284     100
PATTERSON COMPANIES INC   COM            703395103     106,132     2,446       X         28-5284     446              2000
                                                        63,783     1,470       X      X  28-5284     470      1000
                                                       115,417     2,660       X      X  28-1500    2660
PATTERSON UTI ENERGY INC  COM            703481101       2,334       120       X         28-5284     120
                                                       202,280    10,400       X      X  28-5284   10400
PAYCHEX INC               COM            704326107  11,062,368   324,600       X         28-5284  306043      4475   14082
                                                    25,696,252   753,998       X      X  28-5284  683588     36160   34250
                                                        22,152       650       X         28-4580     650
                                                        12,610       370       X      X  28-4580     370
PAYLESS SHOESOURCE INC    COM            704379106      25,338     2,060       X         28-5284    2060
                                                        85,091     6,918       X      X  28-5284    6918
PCCW LTD                  SPONS ADR NEW  70454G207       2,196       352       X         28-5284     352
PEABODY ENERGY CORP       COM            704549104      43,691       540       X         28-5284     480        60
                                                        80,910     1,000       X      X  28-5284     400               600
                                                        24,273       300       X      X  28-4580     300
PEAPACK-GLADSTONE FINL
   CORP                   COM            704699107     191,824     6,080       X         28-5284    6080
                                                        38,176     1,210       X      X  28-5284    1210
PEARSON PLC               SPONSORED ADR  705015105       7,296       600       X         28-5284                       600
0            COLUMN TOTAL                           39,476,764
0
0
0




1                                                               FILE NO. 28-1235
PAGE 131 OF 183                                                   AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- ------- --------- -------
                                                                                       
PEDIATRIX MED GROUP       COM            705324101       6,405       100       X      X  28-5284     100
PELICAN FINL INC          COM            705808103      20,100     3,000       X         28-5284                      3000
PEGASUS COMMUNICATIONS
   CORP                   CL A NEW       705904605     370,000    40,000       X      X  28-5284             40000
PENGROWTH ENERGY TR       TRUST UNIT A   706902301     239,430    11,500       X      X  28-5284   11500
PENN ENGR & MFG CORP      CL A           707389102   8,225,910   548,394       X      X  28-5284  548394
PENN ENGR & MFG CORP      COM NON VTG    707389300  17,107,794   945,182       X      X  28-5284  945182
PENN NATL GAMING INC      COM            707569109     133,210     2,200       X         28-5284    2200
                                                     1,150,450    19,000       X      X  28-5284   19000
                                                         2,785        46       X      X  28-4580       8                38
PENN TREATY AMERN CORP    COM            707874103      20,900    10,000       X         28-5284   10000
PENN VA CORP              COM            707882106     164,876     4,064       X         28-5284    2464      1600
                                                       121,710     3,000       X      X  28-5284                      3000
PENN VA RESOURCES
   PARTNERS L             COM            707884102      20,840       400       X         28-5284     400
                                                        98,990     1,900       X      X  28-5284              1200     700
PENNEY J C INC            COM            708160106   1,042,535    25,182       X         28-5284   24582               600
                                                       161,957     3,912       X      X  28-5284    3312       400     200
                                                        12,503       302       X         28-4580     302
                                                       117,203     2,831       X      X  28-4580    2831
PENNROCK FINL SVCS CORP   COM            708352109     108,792     2,796       X         28-5284    2796
PENNS WOODS BANCORP INC   COM            708430103   4,728,330    98,200       X         28-1500   98200
PENNSYLVANIA COMM BANCORP
   IN                     COM            708677109     189,000     3,000       X         28-5284    3000
PENNSYLVANIA RL ESTATE
   INVT                   SH BEN INT     709102107   1,205,419    28,164       X         28-5284   28164
                                                     3,984,680    93,100       X      X  28-5284    7150     51950   34000
PENTAIR INC               COM            709631105      79,323     1,821       X         28-5284    1821
                                                       217,800     5,000       X      X  28-5284    5000
PEOPLES BK BRIDGEPORT
   CONN                   COM            710198102     317,926     8,175       X         28-5284    8175
0            COLUMN TOTAL                           39,848,868
0
0
0




1                                                               FILE NO. 28-1235
PAGE 132 OF 183                                                   AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- ------- --------- -------
                                                                                      
PEOPLES ENERGY CORP       COM            711030106     296,223     6,740       X         28-5284    5240              1500
                                                       146,837     3,341       X      X  28-5284    2641               700
PEOPLES HLDG CO           COM            711148106     154,743     4,675       X      X  28-1500    4675
PEOPLESOFT INC            COM            712713106     579,389    21,872       X         28-5284   21872
                                                        36,424     1,375       X      X  28-5284    1375
PEP BOYS MANNY MOE & JACK COM            713278109      18,777     1,100       X         28-5284    1100
PEPCO HOLDINGS INC        COM            713291102     451,323    21,169       X         28-5284   17960       439    2770
                                                     1,043,038    48,923       X      X  28-5284   32604     15108    1211
                                                        32,001     1,501       X         28-4580    1501
                                                         4,264       200       X      X  28-4580     200
PEPSI BOTTLING GROUP INC  COM            713409100      23,525       870       X         28-5284     870
                                                       196,175     7,255       X      X  28-5284    2055              5200
PEPSIAMERICAS INC         COM            71343P200      49,850     2,347       X         28-5284    2347
                                                        28,589     1,346       X      X  28-5284    1100       246
PEPSICO INC               COM            713448108 157,273,119 3,012,895       X         28-5284 2646473     24988  341434
                                                    80,548,515 1,543,075       X      X  28-5284  965520    441363  136192
                                                     5,611,187   107,494       X         28-1500   94341     13153
                                                     1,429,706    27,389       X         28-4580   27389
                                                     1,122,196    21,498       X      X  28-4580   20342      1156
PERFICIENT INC            COM            71375U101       5,904       900       X         28-1500     900
PERFORMANCE FOOD GROUP CO COM            713755106      32,292     1,200       X         28-5284                      1200
PERKINELMER INC           COM            714046109     396,589    17,634       X         28-5284   17634
                                                       319,358    14,200       X      X  28-5284   14200
                                                         2,249       100       X      X  28-1500     100
PERMIAN BASIN RTY TR      UNIT BEN INT   714236106      69,987     5,017       X         28-5284    5017
                                                         5,915       424       X      X  28-5284               424
PERRIGO CO                COM            714290103      34,540     2,000       X         28-5284    2000
                                                       151,579     8,777       X         28-1500    8777
PERUSAHAAN PERS INDO
   SATELLI                SPONSORED ADR  715680104      34,922     1,120       X         28-5284    1120
0            COLUMN TOTAL                          250,099,216
0
0
0




1                                                               FILE NO. 28-1235
PAGE 133 OF 183                                                   AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- ------- --------- -------
                                                                                      
PETMED EXPRESS INC        COM            716382106      15,220     2,000       X         28-5284    2000
PETROCHINA CO LTD         SPONSORED  ADR 71646E100     128,856     2,400       X         28-5284    2400
                                                        64,428     1,200       X      X  28-5284     800       400
                                                       102,011     1,900       X      X  28-1500    1900
                                                        30,711       572       X      X  28-4580      70               502
PETROFUND ENERGY TRUST    TR UNIT        71648W108      26,080     2,000       X         28-5284    2000
                                                        65,200     5,000       X      X  28-5284    5000
PETROKAZAKHSTAN INC       COM            71649P102     159,530     4,300       X      X  28-5284    4300
PETROLEO BRASILEIRO SA
   PETRO                  SPONSORED ADR  71654V408      19,890       500       X         28-5284                       500
                                                        19,890       500       X      X  28-1500     500
PETROLEUM & RES CORP      COM            716549100     126,193     4,895       X         28-5284    4895
                                                       188,426     7,309       X      X  28-5284    7309
PETROLEUM DEV CORP        COM            716578109       7,714       200       X      X  28-5284     200
PETSMART INC              COM            716768106   4,628,529   130,271       X         28-5284   84310             45961
                                                     1,579,309    44,450       X      X  28-5284   38800      5400     250
PFIZER INC                COM            717081103 225,981,678 8,403,930       X         28-5284 7611448    102868  689614
                                                   175,238,473 6,516,864       X      X  28-5284 4030719   2032167  453978
                                                     4,853,537   180,496       X         28-1500  124355     56141
                                                     2,951,877   109,776       X         28-4580  109626               150
                                                     5,069,545   188,529       X      X  28-4580  183868      4661
                                                     3,919,621   145,765       X                  145765
PFSWEB INC                COM            717098107       1,420       500       X         28-5284     500
PHARMACOPEIA DRUG DISCVRY
   IN                     COM            7171EP101       1,493       250       X         28-5284     250
PHARMACEUTICAL HLDRS TR   DEPOSITRY RCPT 71712A206     559,713     7,700       X         28-5284    6900       400     400
                                                       174,456     2,400       X      X  28-5284    2400
PHARMACEUTICAL PROD DEV
   INC                    COM            717124101       4,542       110       X         28-5284     110
                                                        16,516       400       X      X  28-5284     400
PHARMION CORP             COM            71715B409      30,265       717       X         28-5284     574               143
PHELPS DODGE CORP         COM            717265102   2,983,427    30,160       X         28-5284   27959      1437     764
                                                       538,323     5,442       X      X  28-5284    4962       480
0            COLUMN TOTAL                          429,486,873
0
0
0




1                                                               FILE NO. 28-1235
PAGE 134 OF 183                                                   AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- ------- --------- -------
                                                                                        
PHILADELPHIA CONS HLDG
   CORP                   COM            717528103       3,968        60       X         28-5284      60
PHILLIPS VAN HEUSEN CORP  COM            718592108       3,105       115       X         28-5284     115
PHOENIX COS INC NEW       COM            71902E109     182,575    14,606       X         28-5284   10549              4057
                                                        47,900     3,832       X      X  28-5284    3420       412
PHOTRONICS INC            COM            719405102       3,300       200       X         28-5284     200
PIEDMONT NAT GAS INC      COM            720186105     427,151    18,380       X         28-5284   17520               860
                                                       417,158    17,950       X      X  28-5284   13950      3000    1000
                                                        93,983     4,044       X      X  28-1500    4044
PIER 1 IMPORTS INC        COM            720279108      23,640     1,200       X         28-5284    1200
PIMCO CORPORATE INCOME FD COM            72200U100     212,670    13,900       X         28-5284    4000              9900
                                                       137,700     9,000       X      X  28-5284    7000              2000
PIMCO MUN INCOME FD II    COM            72200W106      49,197     3,407       X      X  28-5284                      3407
PIMCO STRATEGIC GBL GOV
   FD I                   COM            72200X104      38,431     3,184       X         28-5284    3184
PIMCO MUN INCOME FD III   COM            72201A103      28,300     2,000       X      X  28-5284                      2000
PIMCO HIGH INCOME FD      COM SHS        722014107      39,845     2,667       X      X  28-5284                      2667
PINNACLE ENTMT INC        COM            723456109       2,848       144       X      X  28-4580      26               118
PINNACLE FINL PARTNERS
   INC                    COM            72346Q104     143,824     6,358       X      X  28-1500    6358
PINNACLE WEST CAP CORP    COM            723484101      88,820     2,000       X         28-5284    2000
                                                       296,259     6,671       X      X  28-5284    6071       300     300
PIONEER MUN HIGH INC ADV
   TR                     COM            723762100      19,600     1,400       X      X  28-5284                      1400
PIONEER NAT RES CO        COM            723787107     531,695    15,148       X         28-5284   15148
                                                       270,761     7,714       X      X  28-5284     714      7000
PIONEER TAX ADVNTAGE
   BALANC                 COM            72388R101      12,940     1,000       X      X  28-5284                      1000
0            COLUMN TOTAL                            3,075,670
0
0
0




1                                                               FILE NO. 28-1235
PAGE 135 OF 183                                                   AS OF 12/31/04

     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     278,302     5,804       X         28-5284    5577         5     222
                                                       124,670     2,600       X      X  28-5284    2475        86      39
                                                         2,398        50       X         28-1500      50
                                                         2,398        50       X      X  28-1500      50
                                                            48         1       X         28-4580       1
PITNEY BOWES INC          COM            724479100  32,848,202   709,771       X         28-5284  671191      3505   35075
                                                    55,377,491 1,196,575       X      X  28-5284 1064344    120405   11826
                                                         4,813       104       X      X  28-1500     104
                                                       859,142    18,564       X         28-4580   18564
                                                       861,780    18,621       X      X  28-4580   16021      2000     600
PIXELWORKS INC            COM            72581M107      23,814     2,100       X      X  28-5284    2100
PIXAR                     COM            725811103      36,384       425       X         28-5284     425
                                                       102,732     1,200       X      X  28-5284    1200
PLACER DOME INC           COM            725906101     133,095     7,057       X         28-5284    6057      1000
PLAINS ALL AMERN
   PIPELINE L             UNIT LTD PARTN 726503105       7,548       200       X         28-5284     200
                                                        18,870       500       X      X  28-5284               500
PLAINS EXPL& PRODTN CO    COM            726505100      54,600     2,100       X         28-5284    2100
PLANTRONICS INC NEW       COM            727493108      14,515       350       X      X  28-5284     350
PLAYBOY ENTERPRISES INC   CL A           728117201         430        37       X      X  28-5284      37
PLAYBOY ENTERPRISES INC   CL B           728117300       2,286       186       X      X  28-5284     186
PLEXUS CORP               COM            729132100     318,745    24,500       X         28-5284   24500
PLUG POWER INC            COM            72919P103       3,055       500       X         28-5284     500
                                                         1,161       190       X      X  28-5284     190
PLUM CREEK TIMBER CO INC  COM            729251108   1,171,190    30,468       X         28-5284   28920              1548
                                                     2,815,269    73,238       X      X  28-5284   37595     34643    1000
                                                       117,242     3,050       X      X  28-1500    3050
                                                        76,880     2,000       X      X  28-4580    2000
POGO PRODUCING CO         COM            730448107      96,980     2,000       X         28-5284    2000
POINTE FINANCIAL CORP     COM            73084P100     691,391    16,950       X         28-5284   16950
0            COLUMN TOTAL                           96,045,431
0
0
0




1                                                               FILE NO. 28-1235
PAGE 136 OF 183                                                   AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- ------- --------- -------
                                                                                        
POLO RALPH LAUREN CORP    CL A           731572103      21,300       500       X         28-5284     500
                                                         4,260       100       X      X  28-5284     100
POLYCOM INC               COM            73172K104      58,300     2,500       X      X  28-5284    2500
POLYMEDICA CORP           COM            731738100       3,915       105       X      X  28-5284     105
POMEROY IT SOLUTIONS INC  COM            731822102       9,126       600       X         28-5284     600
POPULAR INC               COM            733174106     432,450    15,000       X         28-5284   15000
                                                        57,660     2,000       X      X  28-5284              2000
POST PPTYS INC            COM            737464107      95,975     2,750       X      X  28-5284    2750
POTASH CORP SASK INC      COM            73755L107      78,575       946       X         28-5284     946
                                                        16,612       200       X      X  28-1500     200
POTLATCH CORP             COM            737628107      30,348       600       X         28-5284     600
POWER-ONE INC             COM            739308104       8,920     1,000       X         28-5284    1000
PRAECIS PHARMACEUTICALS
   INC                    COM            739421105       1,520       800       X         28-5284     800
PRAXAIR INC               COM            74005P104   8,645,100   195,812       X         28-5284  187812              8000
                                                       755,318    17,108       X      X  28-5284   10057      7051
                                                        89,271     2,022       X      X  28-1500    2022
PRE PAID LEGAL SVCS INC   COM            740065107      56,325     1,500       X         28-5284    1500
                                                        47,989     1,278       X         28-1500              1278
PRECISION CASTPARTS CORP  COM            740189105     139,307     2,121       X         28-5284    1121              1000
                                                       121,114     1,844       X      X  28-5284              1844
PRECISION DRILLING CORP   COM            74022D100     125,600     2,000       X      X  28-5284    2000
PREFERRED INCOME
   STRATEGIES             COM            74038E100      43,560     2,000       X      X  28-5284    2000
PREMCOR INC               COM            74045Q104      90,370     2,143       X         28-5284    2023       120
                                                        57,773     1,370       X      X  28-5284     250              1120
PRESIDENTIAL LIFE CORP    COM            740884101      25,440     1,500       X         28-5284                      1500
0            COLUMN TOTAL                           11,016,128
0
0
0




1                                                               FILE NO. 28-1235
PAGE 137 OF 183                                                   AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- ------- --------- -------
                                                                                      
PRICE T ROWE GROUP INC  COM            74144T108   1,516,436     24,380        X         28-5284   17880              6500
                                                      62,200      1,000        X      X  28-5284    1000
                                                      98,338      1,581        X      X  28-4580    1581
PRICELINE COM INC       COM NEW        741503403       3,916        166        X      X  28-5284     166
PRIDE INTL INC DEL      COM            74153Q102      10,270        500        X         28-5284     500
PRIMEWEST ENERGY TR     TR UNIT NEW    741930309      37,706      1,700        X         28-5284    1700
                                                     159,696      7,200        X      X  28-5284    7200
PRINCETON NATL BANCORP
   INC                  COM            742282106     374,530     13,000        X         28-1500   13000
PRINCIPAL FINANCIAL
   GROUP IN             COM            74251V102     272,824      6,664        X         28-5284    6043               621
                                                      50,847      1,242        X      X  28-5284    1242
PROCTER & GAMBLE CO     COM            742718109 580,530,862 10,539,776        X         28-5284 9847287    69288   623201
                                                 247,579,588  4,494,909        X      X  28-5284 3479542   794639   220728
                                                  14,078,228    255,596        X         28-1500     873   254723
                                                   5,432,981     98,638        X         28-4580   97970               668
                                                   5,485,142     99,585        X      X  28-4580   96765     2750       70
PROGENICS
   PHARMACEUTICALS IN   COM            743187106       2,574        150        X         28-5284     150
                                                      51,480      3,000        X      X  28-5284    3000
                                                       8,580        500        X      X  28-1500     500
PROGRESS ENERGY INC     COM            743263105   1,251,429     27,662        X         28-5284   26111              1551
                                                     942,530     20,834        X      X  28-5284   13678     7156
                                                       9,048        200        X      X  28-1500     200
PROGRESS SOFTWARE CORP  COM            743312100      14,010        600        X         28-4580     600
PROGRESSIVE CORP OHIO   COM            743315103   1,493,184     17,600        X         28-5284    9600              8000
                                                      63,630        750        X      X  28-5284     150      300      300
PROLOGIS                SH BEN INT     743410102     194,985      4,500        X         28-5284    4500
PROSPECT STREET INCOME
   SHS I                COM            743590101       3,726        600        X         28-5284     600
PROTECTIVE LIFE CORP    COM            743674103      12,380        290        X         28-5284     290
                                                     149,757      3,508        X      X  28-5284    3508
PROTEIN DESIGN LABS INC COM            74369L103          41          2        X         28-1500       2
0          COLUMN TOTAL                          859,890,918
0
0
0




1                                                               FILE NO. 28-1235
PAGE 138 OF 183                                                   AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- ------- --------- -------
                                                                                       
PROVIDENCE & WORCESTER RR
   CO                     COM            743737108       9,443       700       X         28-5284     700
PROVIDENT BANKSHARES CORP COM            743859100     102,200     2,810       X         28-5284    2810
                                                        50,991     1,402       X      X  28-5284    1402
PROVIDENT ENERGY TR       TR UNIT        74386K104     101,294    10,685       X         28-5284   10685
                                                        61,620     6,500       X      X  28-5284    6500
PROVIDENT FINL SVCS INC   COM            74386T105      48,425     2,500       X         28-5284    2500
                                                       121,179     6,256       X      X  28-5284    6256
PROVIDIAN FINL CORP       COM            74406A102   4,758,727   288,933       X         28-5284  216791             72142
                                                     1,376,908    83,601       X      X  28-5284   76466      3500    3635
                                                        24,705     1,500       X      X  28-1500    1500
                                                         6,588       400       X      X  28-4580     400
                                                       280,814    17,050       X                   17050
PROXIM CORP               CL A NEW       744283201         618       151       X      X  28-1500     151
PRUDENTIAL FINL INC       COM            744320102   1,453,912    26,454       X         28-5284   23403              3051
                                                       385,325     7,011       X      X  28-5284    6456       555
                                                         4,287        78       X         28-4580      78
PUBLIC SVC ENTERPRISE
   GROUP                  COM            744573106   8,709,888   168,242       X         28-5284  145190     13817    9235
                                                    11,750,082   226,967       X      X  28-5284  141252     76273    9442
                                                        73,513     1,420       X         28-4580    1420
                                                     1,187,863    22,945       X      X  28-4580   22945
PUBLIC STORAGE INC        COM            74460D109     259,962     4,663       X         28-5284    4663
PUBLIC STORAGE INC        COM A DP1/1000 74460D729      17,370       605       X         28-5284     605
                                                           488        17       X      X  28-5284      17
PUGET ENERGY INC NEW      COM            745310102     116,189     4,704       X         28-5284    3504              1200
                                                        86,845     3,516       X      X  28-5284    3016       500
PULTE HOMES INC           COM            745867101      79,750     1,250       X         28-5284    1250
PURECYCLE CORP            COM NEW        746228303         176        20       X      X  28-1500      20
PUTNAM HIGH YIELD MUN TR  SH BEN INT     746781103      13,300     2,000       X      X  28-5284    2000
PUTNAM INVT GRADE MUN TR  COM            746805100      11,925     1,250       X      X  28-5284              1250
0            COLUMN TOTAL                           31,094,387
0
0
0




1                                                               FILE NO. 28-1235
PAGE 139 OF 183                                                   AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- ------- --------- -------
                                                                                       
PUTNAM MANAGED MUN
   INCOM TR               COM            746823103      17,961    2,505        X         28-5284    2505
                                                        14,340    2,000        X      X  28-5284    1000      1000
PUTNAM MASTER INCOME TR   SH BEN INT     74683K104     104,960   16,000        X         28-5284             16000
                                                        19,680    3,000        X      X  28-5284    2000      1000
                                                        15,744    2,400        X         28-4580    2400
PUTNAM MUN BD FD INC      SH BEN INT     74683V100      12,374      969        X         28-5284     969
                                                         3,831      300        X      X  28-5284     300
PUTNAM PREMIER INCOME TR  SH BEN INT     746853100      14,476    2,200        X      X  28-5284    2200
                                                        24,872    3,780        X      X  28-1500    3780
PUTNAM MASTER INTER
   INCOME T               SH BEN INT     746909100      18,985    2,894        X         28-5284    2894
                                                          9,840   1,500        X      X  28-1500    1500
PUTNAM MUN OPPORTUNITIES
   TR                     SH BEN INT     746922103       9,203      750        X      X  28-5284     750
QLT INC                   COM            746927102       8,040      500        X         28-5284     500
QLOGIC CORP               COM            747277101     923,760   25,150        X         28-5284   25150
                                                         8,815      240        X      X  28-5284     240
                                                        18,365      500        X      X  28-4580     500
QUAKER CHEM CORP          COM            747316107     104,328    4,200        X         28-5284    4200
                                                        37,260    1,500        X      X  28-5284    1500
QUALCOMM INC              COM            747525103   8,302,047  195,803        X         28-5284  169023      3200   23580
                                                     6,270,918  147,899        X      X  28-5284   93976     52498    1425
                                                         8,989      212        X         28-1500     212
                                                        56,731    1,338        X      X  28-1500    1338
                                                       159,424    3,760        X         28-4580    3760
                                                       127,200    3,000        X      X  28-4580    3000
QUANTA SVCS INC           COM            74762E102       2,400      300        X         28-5284     300
QUANTUM FUEL SYS TECH
   WORLDW                 COM            74765E109       6,020    1,000        X      X  28-1500    1000
QUANTUM CORP              COM DSSG       747906204      15,117    5,770        X         28-5284    5770
QUEST DIAGNOSTICS INC     COM            74834L100     965,055   10,100        X         28-5284   10100
                                                       715,861    7,492        X      X  28-5284    4888      1654     950
                                                       286,650    3,000        X      X  28-1500    3000
0            COLUMN TOTAL                           18,283,246
0
0
0




1                                                               FILE NO. 28-1235
PAGE 140 OF 183                                                   AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- ------- --------- -------
                                                                                        
QUEST SOFTWARE INC        COM            74834T103      15,950     1,000       X      X  28-5284    1000
QUESTAR CORP              COM            748356102     264,992     5,200       X         28-5284    5200
                                                     1,857,492    36,450       X      X  28-5284             36450
QUIKSILVER INC            COM            74838C106      14,895       500       X         28-5284     500
                                                       670,275    22,500       X      X  28-5284   22500
QWEST COMMUNICATIONS
   INTL IN                COM            749121109      63,270    14,250       X         28-5284   12142              2108
                                                       115,764    26,073       X      X  28-5284    9446     16557      70
QUOVADX INC               COM            74913K106       2,132       892       X      X  28-5284     892
RAIT INVT TR              COM            749227104      25,173       900       X      X  28-5284     500       400
R H DONNELLEY CORP        COM NEW        74955W307      80,721     1,367       X         28-5284    1367
                                                        34,426       583       X      X  28-5284     183       400
                                                        12,578       213       X      X  28-4580     213
RPM INTL INC              COM            749685103     281,138    14,300       X         28-5284   14300
                                                        34,405     1,750       X      X  28-5284    1750
                                                        16,436       836       X      X  28-1500     836
RSA SEC INC               COM            749719100      19,779       986       X         28-1500     446       540
RF MICRODEVICES INC       COM            749941100       5,472       800       X         28-5284     800
                                                           547        80       X      X  28-5284      80
                                                       179,851    26,294       X         28-1500   26294
                                                         4,651       680       X         28-4580     680
RADIAN GROUP INC          COM            750236101      46,851       880       X      X  28-5284                       880
RADIO ONE INC             CL A           75040P108      74,060     4,600       X         28-5284                      4600
RADIO ONE INC             CL D NON VTG   75040P405      72,540     4,500       X      X  28-5284    4500
RADIOSHACK CORP           COM            750438103      36,595     1,113       X         28-5284    1113
                                                       144,672     4,400       X      X  28-5284              4400
RAILAMERICA INC           COM            750753105      19,575     1,500       X         28-5284    1000               500
RAINDANCE COMM            COM            75086X106       4,640     2,000       X         28-5284    2000
0            COLUMN TOTAL                            4,098,880
0
0
0




1                                                               FILE NO. 28-1235
PAGE 141 OF 183                                                   AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- ------- --------- -------
                                                                                        
RAMBUS INC DEL            COM            750917106      36,800     1,600       X         28-5284    1600
                                                         3,450       150       X      X  28-5284     150
RALCORP HLDGS INC NEW     COM            751028101      61,763     1,473       X      X  28-5284    1333       140
RANK GROUP PLC            SPONSORED ADR  753037100       2,603       250       X         28-5284     250
RAYMOND JAMES FINANCIAL
   INC                    COM            754730109      23,235       750       X         28-5284     750
RAYONIER INC              COM            754907103      84,957     1,737       X         28-5284     928               809
                                                        57,518     1,176       X      X  28-5284     897       200      79
                                                        14,673       300       X      X  28-1500     300
RAYOVAC CORP              COM            755081106       9,474       310       X      X  28-5284      60       250
RAYTHEON CO               COM NEW        755111507   8,875,140   228,564       X         28-5284  219817      2200    6547
                                                    17,795,090   458,282       X      X  28-5284  170495    283008    4779
                                                       252,395     6,500       X         28-1500              6500
                                                        11,183       288       X         28-4580     288
                                                       167,124     4,304       X      X  28-4580    3254      1050
REALNETWORKS INC          COM            75605L104      23,435     3,540       X         28-5284    3540
                                                         1,589       240       X      X  28-5284      40               200
RECKSON ASSOCS RLTY CORP  COM            75621K106     204,669     6,238       X      X  28-5284     238      6000
RED HAT INC               COM            756577102     136,504    10,225       X         28-5284   10225
                                                        11,014       825       X      X  28-5284     125       700
                                                     1,761,266   131,930       X                  131930
REDBACK NETWORKS INC      COM NEW        757209507          75        14       X         28-5284      14
REDWOOD TR INC            COM            758075402      18,627       300       X         28-5284     300
                                                       248,360     4,000       X      X  28-5284              4000
REED ELSEVIER N V         SPONSORED ADR  758204101       8,235       300       X      X  28-5284               300
REGAL ENTMT GROUP         CL A           758766109      20,750     1,000       X      X  28-5284    1000
REGENERATION TECH INC DEL COM            75886N100       7,598       725       X      X  28-1500     725
REGIS CORP MINN           COM            758932107       6,646       144       X         28-5284     144
0            COLUMN TOTAL                           29,844,173
0
0
0




1                                                               FILE NO. 28-1235
PAGE 142 OF 183                                                   AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- ------- --------- -------
                                                                                       
REGIONS FINANCIAL CORP
   NEW                    COM            7591EP100   2,742,565    77,060       X         28-5284   64210             12850
                                                     1,013,852    28,487       X      X  28-5284   28487
                                                     7,893,862   221,800       X         28-1500  221800
                                                       195,282     5,487       X      X  28-1500    5487
REHABCARE GROUP INC       COM            759148109      13,995       500       X         28-5284     500
REINSURANCE GROUP AMER
   INC                    COM            759351109       4,845       100       X         28-5284     100
                                                        96,900     2,000       X      X  28-5284    2000
RELIANT ENERGY INC        COM            75952B105      45,591     3,340       X         28-5284    3340
                                                       298,102    21,839       X      X  28-5284    3674       728   17437
RENAL CARE GROUP INC      COM            759930100     562,164    15,620       X      X  28-5284   15620
RENT A CTR INC NEW        COM            76009N100       6,864       259       X         28-5284     259
RENT WAY INC              COM            76009U104         256        32       X         28-5284      32
                                                           801       100       X      X  28-5284     100
REPSOL YPF S A            SPONSORED ADR  76026T205      31,320     1,200       X         28-5284    1200
REPUBLIC BANCORP KY       CL A           760281204     460,724    17,927       X         28-5284   13727              4200
                                                       108,069     4,205       X         28-1500       5      4200
REPUBLIC BANCORP INC      COM            760282103         458        30       X         28-1500      30
REPUBLIC FIRST BANCORP
   INC                    COM            760416107      42,075     2,750       X         28-5284    2750
                                                        91,800     6,000       X      X  28-5284              6000
                                                        30,600     2,000       X      X  28-4580    2000
REPUBLIC SVCS INC         COM            760759100       2,851        85       X         28-5284      85
                                                         6,708       200       X      X  28-5284     200
RES-CARE INC              COM            760943100     874,389    57,450       X         28-5284   57450
                                                        11,415       750       X      X  28-5284     750
                                                        11,293       742       X         28-1500     742
RESEARCH IN MOTION LTD    COM            760975102      32,968       400       X         28-5284     400
                                                         8,242       100       X      X  28-5284     100
RESMED INC                COM            761152107      12,111       237       X         28-5284     237
0            COLUMN TOTAL                           14,600,102
0
0
0




1                                                               FILE NO. 28-1235
PAGE 143 OF 183                                                   AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- ------- --------- -------
                                                                                       
RESOURCE AMERICA INC      CL A           761195205      96,915     2,982       X      X  28-5284    2982
RESPIRONICS INC           COM            761230101     521,856     9,600       X         28-5284    9600
                                                        38,052       700       X      X  28-5284     300               400
REUNION INDS INC          COM            761312107       1,620     4,500       X         28-5284    4500
REUTERS GROUP PLC         SPONSORED ADR  76132M102     107,074     2,493       X         28-5284    1280              1213
                                                        50,681     1,180       X      X  28-5284     680       500
REYNOLDS & REYNOLDS CO    CL A           761695105     990,546    37,365       X         28-5284   37365
REYNOLDS AMERICAN INC     COM            761713106     534,637     6,802       X         28-5284    6802
                                                       174,099     2,215       X      X  28-5284    2006       209
                                                        38,593       491       X         28-4580     491
RICHARDSON ELECTRS LTD    SDCV  7.250%12 763165AB3   3,477,300    34,600       X         28-5284   34600
RICHARDSON ELECTRS LTD    SDCV  8.250% 6 763165AC1  19,283,550   191,400       X         28-5284  191400
                                                     3,324,750    33,000       X      X  28-5284             33000
RIO NARCEA GOLD MINES INC COM            766909105      21,631     9,529       X         28-5284    5529              4000
RIO TINTO PLC             SPONSORED ADR  767204100      17,047       143       X         28-5284     143
                                                       327,828     2,750       X      X  28-5284    2750
RITE AID CORP             COM            767754104     120,780    33,000       X         28-5284   33000
                                                        71,736    19,600       X      X  28-5284    6600             13000
RIVIERA HLDGS CORP        COM            769627100       4,358       105       X      X  28-4580      10                95
ROANOKE ELEC STL CORP     COM            769841107     131,261     6,350       X      X  28-5284    6350
ROBERT HALF INTL INC      COM            770323103     811,679    27,580       X         28-5284   27580
                                                        40,908     1,390       X      X  28-5284     190              1200
ROCKFORD CORP             COM            77316P101       1,212       600       X      X  28-5284     600
ROCKWELL AUTOMATION INC   COM            773903109   1,010,325    20,390       X         28-5284   20390
                                                     1,599,722    32,285       X      X  28-5284   14805     10175    7305
ROCKWELL COLLINS INC      COM            774341101     773,261    19,606       X         28-5284   19606
                                                     1,252,102    31,747       X      X  28-5284   14951      9491    7305
0            COLUMN TOTAL                           34,823,523
0
0
0




1                                                               FILE NO. 28-1235
PAGE 144 OF 183                                                   AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- ------- --------- -------
                                                                                       
ROCKY SHOES & BOOTS INC   COM            774830103      23,840       800       X      X  28-1500     800
ROFIN SINAR TECHNOLOGIES
   INC                    COM            775043102      12,735       300       X         28-5284     300
ROHM & HAAS CO            COM            775371107   1,130,784    25,566       X         28-5284   25566
                                                     4,379,522    99,017       X      X  28-5284   20937     78080
                                                       143,349     3,241       X      X  28-4580    3241
ROLLINS INC               COM            775711104       2,632       100       X         28-5284     100
                                                        59,220     2,250       X      X  28-5284              2250
ROPER INDS INC NEW        COM            776696106   3,483,944    57,330       X         28-5284   57330
ROSS STORES INC           COM            778296103      51,966     1,800       X         28-5284    1800
                                                         5,774       200       X      X  28-5284     100       100
ROWAN COS INC             COM            779382100      43,512     1,680       X         28-5284    1680
ROYAL BANCSHARES PA INC   CL A           780081105      15,401       570       X      X  28-5284     228       342
ROYAL BK CDA MONTREAL QUE COM            780087102      64,128     1,200       X         28-5284                      1200
                                                        49,432       925       X      X  28-5284     325       600
ROYAL BK SCOTLAND GROUP
   PLC                    SP ADR PREF M  780097796      14,689       560       X         28-5284     560
ROYAL BK SCOTLAND GROUP
   PLC                    SPON ADR F     780097804      76,020     2,800       X         28-5284    2800
                                                        51,857     1,910       X      X  28-5284     910      1000
ROYAL BK SCOTLAND GROUP
   PLC                    SP ADR PFD K   780097820      43,560     1,650       X         28-5284    1650
                                                        92,400     3,500       X      X  28-5284              3500
ROYAL BK SCOTLAND GROUP
   PLC                    SP ADR PREF J  780097853      25,660     1,000       X      X  28-5284              1000
ROYAL BK SCOTLAND GROUP
   PLC                    SP ADR I PRF I 780097861      25,550     1,000       X         28-5284    1000
                                                       196,735     7,700       X      X  28-5284    2000      5700
                                                         8,943       350       X         28-4580     350
ROYAL BK SCOTLAND GROUP
   PLC                    SPON ADR SER H 780097879       8,960       350       X         28-5284     350
                                                       248,320     9,700       X      X  28-5284              9700
ROYAL BK SCOTLAND GROUP
   PLC                    SPON ADR PRF G 780097887      10,288       400       X      X  28-5284     400
0            COLUMN TOTAL                           10,269,221
0
0
0




1                                                               FILE NO. 28-1235
PAGE 145 OF 183                                                   AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- ------- --------- -------
                                                                                       
ROYAL DUTCH PETE CO       NY REG EUR .56 780257804  37,587,056   655,055       X         28-5284  612483     15955   26617
                                                    71,272,616 1,242,116       X      X  28-5284  952914    250977   38225
                                                        88,939     1,550       X         28-1500              1550
                                                       660,845    11,517       X         28-4580   11517
                                                       709,446    12,364       X      X  28-4580    8964      3400
ROYAL GOLD INC            COM            780287108      18,240     1,000       X         28-5284    1000
                                                        11,327       621       X      X  28-5284     621
ROYAL KPN NV              SPONSORED ADR  780641205       5,545       580       X         28-5284     580
ROYCE VALUE TR INC        COM            780910105     200,332     9,801       X         28-5284    9801
                                                         8,871       434       X      X  28-5284               434
                                                        78,551     3,843       X      X  28-1500    3843
                                                        23,159     1,133       X         28-4580    1133
RUBY TUESDAY INC          COM            781182100     243,900     9,352       X      X  28-5284              9352
RYDER SYS INC             COM            783549108     162,227     3,396       X         28-5284    3396
RYDEX ETF TRUST           S&P 500 EQ TRD 78355W106     812,813     5,205       X         28-5284    5205
                                                       140,700       901       X      X  28-5284      76       825
RYERSON TULL INC NEW      COM            78375P107      31,500     2,000       X      X  28-5284    2000
RYLAND GROUP INC          COM            783764103      80,556     1,400       X      X  28-5284    1000       400
S & T BANCORP INC         COM            783859101     145,823     3,869       X         28-5284    2734              1135
                                                     2,464,926    65,400       X      X  28-5284   65200               200
SBC COMMUNICATIONS INC    COM            78387G103  28,609,699 1,110,194       X         28-5284 1007032     35041   68121
                                                    28,724,737 1,114,658       X      X  28-5284  708829    361310   44519
                                                       506,432    19,652       X         28-1500      20     19632
                                                       902,182    35,009       X         28-4580   33564              1445
                                                     1,839,231    71,371       X      X  28-4580   68646      2025     700
SBA COMMUNICATIONS CORP   COM            78388J106     113,680    12,250       X         28-4580                     12250
SCP POOL CORP             COM            784028102      24,723       775       X         28-5284     775
SEI INVESTMENTS CO        COM            784117103   5,536,647   132,045       X         28-5284   87300             44745
                                                     3,945,613    94,100       X      X  28-5284   90700       700    2700
                                                        54,928     1,310       X         28-1500    1310
0            COLUMN TOTAL                          185,005,244
0
0
0




1                                                               FILE NO. 28-1235
PAGE 146 OF 183                                                   AS OF 12/31/04

      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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- ------- --------- -------
                                                                                      
SEMCO ENERGY INC          COM            78412D109       1,068       200       X      X  28-5284     200
SFBC INTL INC             COM            784121105     948,000    24,000       X      X  28-5284   24000
SK TELECOM LTD            SPONSORED ADR  78440P108       1,669        75       X         28-5284      75
SL GREEN RLTY CORP        COM            78440X101       2,119        35       X         28-5284      35
                                                        36,330       600       X      X  28-5284     600
SLM CORP                  COM            78442P106     812,756    15,223       X         28-5284   15223
                                                     1,237,260    23,174       X      X  28-5284    5274      5100   12800
                                                    43,000,306   805,400       X                  805400
SPDR TR                   UNIT SER 1     78462F103 421,742,142 3,489,221       X         28-5284 3270222     47789  171210
                                                   114,791,206   949,708       X      X  28-5284  604842    306670   38196
                                                        59,226       490       X      X  28-1500     490
                                                    12,834,097   106,181       X         28-4580   75831             30350
                                                     1,918,328    15,871       X      X  28-4580   11796      3075    1000
S1 CORPORATION            COM            78463B101      54,318     6,002       X         28-1500    6002
SPX CORP                  COM            784635104     203,024     5,068       X         28-5284    1668      2000    1400
                                                       178,507     4,456       X      X  28-5284    1666      2790
SRA INTL INC              CL A           78464R105      16,050       250       X         28-5284     250
SVB FINL SVCS INC         COM            784869109      76,653     3,705       X      X  28-5284    3705
S Y BANCORP INC           COM            785060104     420,256    17,438       X         28-5284   16038              1400
                                                       244,470    10,144       X      X  28-5284   10144
                                                        24,100     1,000       X         28-1500              1000
SABRE HLDGS CORP          CL A           785905100       2,393       108       X      X  28-5284     108
SAFECO CORP               COM            786429100  33,275,522   636,974       X         28-5284  607719      3740   25515
                                                     8,902,950   170,424       X      X  28-5284  114225     47639    8560
                                                     1,094,846    20,958       X         28-4580   19907              1051
                                                       268,200     5,134       X      X  28-4580    4344       790
SAFEGUARD SCIENTIFICS INC COM            786449108      28,302    13,350       X         28-5284   13150               200
                                                           424       200       X      X  28-5284     200
SAFENET INC               COM            78645R107       2,829        77       X         28-5284      77
                                                        12,345       336       X      X  28-5284     336
0            COLUMN TOTAL                          642,189,696
0
0
0




1                                                               FILE NO. 28-1235
PAGE 147 OF 183                                                   AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- ------- --------- -------
                                                                                       
SAFEWAY INC               COM NEW        786514208     333,803    16,910       X         28-5284   16895        15
                                                       305,378    15,470       X      X  28-5284   11065      4405
                                                         7,896       400       X      X  28-1500     400
                                                         2,566       130       X         28-4580     130
                                                         1,974       100       X      X  28-4580     100
SAGA COMMUNICATIONS       CL A           786598102      15,165       900       X         28-5284     900
ST JOE CO                 COM            790148100     232,725     3,625       X         28-5284    3625
                                                        19,645       306       X      X  28-4580      31               275
ST JUDE MED INC           COM            790849103     162,269     3,870       X         28-5284    3870
                                                        16,772       400       X      X  28-5284                       400
ST PAUL TRAVELERS INC     COM            792860108  12,605,616   340,049       X         28-5284  332401       965    6683
                                                     6,702,886   180,817       X      X  28-5284  131818     38305   10694
                                                       226,127     6,100       X         28-1500              6100
                                                       244,884     6,606       X         28-4580    6606
                                                       106,428     2,871       X      X  28-4580    2399       472
ST PAUL TRAVELERS INC     EQUITY UNIT    792860306     133,960     2,000       X         28-5284    2000
SAKS INC                  COM            79377W108       2,902       200       X         28-5284     200
SALEM COMMUNICATIONS CORP
   DE                     CL A           794093104       9,980       400       X      X  28-5284     400
SALOMON BR GLBL PRTNRS
   INC F                  COM            794914101       8,592       600       X         28-5284     600
                                                         4,296       300       X      X  28-5284     300
SALISBURY BANCORP INC     COM            795226109       8,700       200       X         28-5284     200
SALIX PHARMACEUTICALS INC COM            795435106       8,795       500       X         28-5284     500
SALOMON BROTHERS FD INC   COM            795477108     266,149    20,473       X         28-5284   16375              4098
                                                        45,695     3,515       X      X  28-5284     515              3000
SALOMON BROS WORLDWIDE
   INCOM                  COM            79548T109      41,688     2,400       X         28-5284    2400
                                                        26,055     1,500       X      X  28-1500    1500
SALTON INC                COM            795757103         566       100       X         28-5284     100
SAMARITAN PHARMACEUTICALS COM            79586Q108      46,550    47,500       X         28-5284   47500
0            COLUMN TOTAL                           21,588,062
0
0
0




1                                                               FILE NO. 28-1235
PAGE 148 OF 183                                                   AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- ------- --------- -------
                                                                                       
SAN JUAN BASIN RTY TR     UNIT BEN INT   798241105     147,700     5,017       X         28-5284    5017
                                                       165,571     5,624       X      X  28-5284    3200       424    2000
SANDERSON FARMS INC       COM            800013104      15,148       350       X      X  28-5284               350
SANDISK CORP              COM            80004C101     118,233     4,735       X         28-5284    4735
                                                         9,988       400       X      X  28-5284     400
                                                        24,970     1,000       X      X  28-1500    1000
SANDY SPRING BANCORP INC  COM            800363103      58,147     1,517       X         28-5284    1517
SANMINA SCI CORP          COM            800907107      29,128     3,439       X         28-5284     719              2720
                                                         7,623       900       X      X  28-5284     900
                                                         6,912       816       X      X  28-1500     816
SANOFI AVENTIS            SPONSORED ADR  80105N105      29,277       731       X         28-5284     731
                                                       345,271     8,621       X      X  28-5284     301      6000    2320
SANTA FE ENERGY TR        RCPT DEP UNITS 802013102      19,794       600       X         28-5284     600
                                                         6,598       200       X      X  28-5284     200
SANTARUS INC              COM            802817304      59,664     6,600       X         28-1500    6600
SANYO ELEC LTD            ADR 5 COM      803038306       3,456       200       X      X  28-5284     200
SAP AKTIENGESELLSCHAFT    SPONSORED ADR  803054204     470,837    10,650       X         28-5284   10650
                                                        97,262     2,200       X      X  28-5284    2200
SARA LEE CORP             COM            803111103  35,412,559 1,466,966       X         28-5284 1383361     30187   53418
                                                    29,538,380 1,223,628       X      X  28-5284  975082    217216   31330
                                                        18,033       747       X         28-1500     747
                                                       138,877     5,753       X      X  28-1500    5753
                                                       177,888     7,369       X         28-4580    7369
                                                       861,798    35,700       X      X  28-4580   35700
SATYAM COMPUTER SERVICES
   LTD                    ADR            804098101      60,325     2,500       X      X  28-5284    2500
SCANA CORP NEW            COM            80589M102     441,635    11,209       X         28-5284   11149        60
                                                       127,065     3,225       X      X  28-5284    2625               600
SCANSOURCE INC            COM            806037107     310,800     5,000       X      X  28-5284    5000
SCHEIN HENRY INC          COM            806407102     137,539     1,975       X      X  28-1500    1975
0            COLUMN TOTAL                           68,840,478
0
0
0




1                                                               FILE NO. 28-1235
PAGE 149 OF 183                                                   AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- ------- --------- -------
                                                                                       
SCHERING PLOUGH CORP     COM             806605101  18,719,839   896,544       X         28-5284  772391     24175   99978
                                                    14,313,532   685,514       X      X  28-5284  465683    165281   54550
                                                       173,471     8,308       X      X  28-1500    8308
                                                       323,640    15,500       X         28-4580   15500
                                                     1,301,659    62,340       X      X  28-4580   62340
SCHLUMBERGER LTD         COM             806857108  25,842,700   386,000       X         28-5284  369966       779   15255
                                                    20,300,110   303,213       X      X  28-5284  195714     87883   19616
                                                        85,294     1,274       X         28-1500    1274
                                                        10,043       150       X      X  28-1500     150
                                                       428,815     6,405       X         28-4580    6405
                                                       128,276     1,916       X      X  28-4580    1775       141
SCHOLASTIC CORP          COM             807066105      39,178     1,060       X         28-5284    1060
SCHOOL SPECIALTY INC     COM             807863105         771        20       X         28-5284      20
SCHWAB CHARLES CORP NEW  COM             808513105     550,591    46,036       X         28-5284   45661               375
                                                       560,804    46,890       X      X  28-5284   46590       300
                                                        71,760     6,000       X      X  28-1500    6000
SCHWEITZER-MAUDUIT INTL
   INC                   COM             808541106      33,950     1,000       X         28-4580    1000
SCIENTIFIC ATLANTA INC   COM             808655104      70,972     2,150       X         28-5284    2150
                                                       320,197     9,700       X      X  28-5284    9300       400
SCIENTIFIC GAMES CORP    CL A            80874P109      47,680     2,000       X      X  28-5284    2000
SCIENTIFIC LEARNING CORP COM             808760102      42,000     7,000       X         28-5284    7000
SCOTTISH PWR PLC         SPON ADR FINAL  81013T705      45,213     1,451       X         28-5284    1451
                                                       136,325     4,375       X      X  28-5284     857      2420    1098
SCOTTS CO                CL A            810186106       2,206        30       X         28-5284      30
                                                         5,220        71       X      X  28-5284      71
SCRIPPS E W CO OHIO      CL A            811054204      53,108     1,100       X         28-5284     900               200
                                                       133,253     2,760       X      X  28-5284    2760
SCS TRANSN INC           COM             81111T102      11,101       475       X         28-5284     475
                                                         1,753        75       X      X  28-5284      75
SCUDDER HIGH INCOME TR   SH BEN INT      811153105      87,944    12,492       X         28-5284   12492
0           COLUMN TOTAL                            83,841,405
0
0
0




1                                                               FILE NO. 28-1235
PAGE 150 OF 183                                                   AS OF 12/31/04

     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 MULTI-MARKET
   INCOME               SH BEN INT      81118Q101      10,833     1,150        X      X  28-5284              1150
SCUDDER MUN INCOME TR   COM SH BEN INT  81118R604       9,641       834        X         28-5284     834
                                                       61,256     5,299        X      X  28-5284    5299
SCUDDER NEW ASIA FD INC COM             811183102       7,415       500        X         28-5284     500
SCUDDER RREEF REAL
   ESTATE FD            COM             81119Q100      10,865       500        X         28-5284     500
SCUDDER STRATEGIC MUN
   INCOME               COM SH BEN INT  811234103       6,205       500        X         28-5284     500
                                                        1,862       150        X      X  28-5284     150
SEA CONTAINERS LTD      CL A            811371707       1,516        77        X         28-5284      77
SEACOAST BKG CORP FLA   COM             811707306      61,188     2,750        X         28-5284    2750
                                                      264,330    11,880        X      X  28-5284   11880
                                                       36,713     1,650        X      X  28-1500    1650
SEALED AIR CORP NEW     COM             81211K100      65,735     1,234        X         28-5284    1234
                                                      552,570    10,373        X      X  28-5284             10373
SEARS ROEBUCK & CO      COM             812387108   2,122,950    41,602        X         28-5284   38155      2124    1323
                                                    4,739,258    92,872        X      X  28-5284   25880     64767    2225
                                                      112,266     2,200        X         28-4580    2200
                                                      188,811     3,700        X      X  28-4580    3700
SEATTLE GENETICS INC    COM             812578102       5,224       800        X         28-5284     800
SELECT SECTOR SPDR TR   SBI MATERIALS   81369Y100     161,018     5,416        X         28-5284    5416
                                                      114,906     3,865        X      X  28-5284    2268      1597
                                                       19,622       660        X         28-4580     660
SELECT SECTOR SPDR TR   SBI HEALTHCARE  81369Y209     115,960     3,841        X         28-5284    3841
                                                      192,612     6,380        X      X  28-5284    4718      1662
SELECT SECTOR SPDR TR   SBI CONS STPLS  81369Y308       5,932       257        X         28-5284     257
                                                      150,643     6,527        X      X  28-5284    6527
                                                       31,158     1,350        X      X  28-1500    1350
                                                       18,464       800        X      X  28-4580     800
SELECT SECTOR SPDR TR   SBI CONS DISCR  81369Y407     196,883     5,579        X         28-5284    5579
                                                      845,478    23,958        X      X  28-5284   17262      6696
                                                    1,023,410    29,000        X         28-4580   29000
0          COLUMN TOTAL                            11,134,724
0
0
0




1                                                               FILE NO. 28-1235
PAGE 151 OF 183                                                   AS OF 12/31/04

     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-ENERGY 81369Y506   3,904,182   107,494       X         28-5284   94384     12685     425
                                                     1,387,460    38,201       X      X  28-5284   32000      6201
                                                     1,046,016    28,800       X         28-4580    2000             26800
                                                        43,584     1,200       X      X  28-4580    1200
SELECT SECTOR SPDR TR     SBI INT-FINL   81369Y605     275,900     9,037       X         28-5284    8037      1000
                                                       225,678     7,392       X      X  28-5284    6891       501
                                                        12,365       405       X      X  28-1500     405
                                                       346,058    11,335       X      X  28-4580   11335
SELECT SECTOR SPDR TR     SBI INT-INDS   81369Y704     112,939     3,635       X         28-5284    3635
                                                       693,141    22,309       X      X  28-5284    6113      6796    9400
                                                       155,350     5,000       X         28-4580    5000
                                                       835,783    26,900       X      X  28-4580    8400     17500    1000
SELECT SECTOR SPDR TR     SBI INT-TECH   81369Y803   5,093,125   241,266       X         28-5284  221103      4471   15692
                                                     4,678,609   221,630       X      X  28-5284  146546     63439   11645
                                                     1,264,383    59,895       X         28-4580   59895
                                                       152,583     7,228       X      X  28-4580    6228      1000
SELECT SECTOR SPDR TR     SBI INT-UTILS  81369Y886     953,584    34,240       X         28-5284   33040      1200
                                                     1,076,040    38,637       X      X  28-5284   24387     14250
                                                        11,836       425       X      X  28-1500     425
                                                        41,775     1,500       X      X  28-4580    1500
SECURE COMPUTING CORP     COM            813705100      89,820     9,000       X         28-5284    9000
SELAS CORP AMER           COM            816119101      47,792    23,200       X         28-5284   23200
                                                           297       144       X      X  28-5284     144
SELECT COMFORT CORP       COM            81616X103      13,455       750       X      X  28-5284     750
SELECT MEDICAL CORP       COM            816196109      17,600     1,000       X      X  28-5284    1000
SELECTIVE INS GROUP INC   COM            816300107     212,352     4,800       X         28-5284    4800
                                                       961,955    21,744       X      X  28-5284   21744
                                                     1,681,120    38,000       X      X  28-4580   38000
SEMICONDUCTOR HLDRS TR    DEP RCPT       816636203      33,370     1,000       X         28-5284    1000
                                                       583,975    17,500       X                   17500
SEMTECH CORP              COM            816850101       6,552       300       X         28-5284     300
0          COLUMN TOTAL                             25,958,679
0
0
0




1                                                               FILE NO. 28-1235
PAGE 152 OF 183                                                   AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- ------- --------- -------
                                                                                        
SEMPRA ENERGY             COM            816851109      69,325     1,890       X         28-5284    1890
                                                       250,561     6,831       X      X  28-5284    4675      1254     902
                                                         9,207       251       X      X  28-4580     251
SEMITOOL INC              COM            816909105       2,784       300       X      X  28-5284     300
SENIOR HIGH INCOME
   PORTFOLIO              COM            81721E107      26,981     4,467       X         28-5284    4467
SENIOR HSG PPTYS TR       SH BEN INT     81721M109      23,486     1,240       X         28-5284    1240
                                                        14,205       750       X      X  28-5284     750
SENSIENT TECHNOLOGIES
   CORP                   COM            81725T100      32,387     1,350       X         28-5284    1350
SEPRACOR INC              COM            817315104      38,591       650       X         28-5284     200               450
SERENA SOFTWARE INC       COM            817492101      59,946     2,774       X         28-1500    2774
SERONO S A                SPONSORED ADR  81752M101     884,462    54,195       X         28-5284   54195
                                                        70,666     4,330       X      X  28-5284    1330              3000
SEROLOGICALS CORP         COM            817523103       2,212       100       X         28-5284     100
SERVICE CORP INTL         COM            817565104      87,165    11,700       X         28-5284   10200              1500
                                                        45,356     6,088       X      X  28-5284    5000      1088
                                                       197,425    26,500       X      X  28-1500   26500
SERVICEMASTER CO          COM            81760N109      34,475     2,500       X         28-5284    2500
                                                        87,511     6,346       X      X  28-5284    6096       250
                                                         5,985       434       X         28-4580     434
7-ELEVEN INC              COM NEW        817826209      38,320     1,600       X         28-5284    1600
                                                         5,748       240       X      X  28-5284               240
SHAW GROUP INC            COM            820280105     185,283    10,380       X         28-5284   10380
SHELL TRANS & TRADING PLC ADR NY SHS NEW 822703609     942,213    18,331       X         28-5284   16532        71    1728
                                                     2,217,807    43,148       X      X  28-5284   39848      3300
                                                         7,710       150       X      X  28-1500     150
                                                       504,594     9,817       X         28-4580    6640              3177
0            COLUMN TOTAL                            5,844,405
0
0
0




1                                                               FILE NO. 28-1235
PAGE 153 OF 183                                                   AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- ------- --------- -------
                                                                                      
SHERWIN WILLIAMS CO       COM            824348106  11,508,961   257,875       X         28-5284  141625            116250
                                                     8,478,584   189,975       X      X  28-5284  176525      8350    5100
                                                        73,550     1,648       X      X  28-1500    1648
                                                       276,706     6,200       X      X  28-4580    6200
SHIRE PHARMACEUTICALS
   GRP PL                 SPONSORED ADR  82481R106      94,061     2,944       X         28-5284    1814       130    1000
                                                        57,510     1,800       X      X  28-5284                      1800
                                                         3,195       100       X         28-4580     100
                                                         4,154       130       X      X  28-4580     130
SHORE BANCSHARES INC      COM            825107105   3,206,149    88,348       X      X  28-5284   88348
SHUFFLE MASTER INC        COM            825549108       9,891       210       X         28-5284                       210
SHURGARD STORAGE CTRS INC COM            82567D104       6,866       156       X         28-5284     156
SIEBEL SYS INC            COM            826170102     387,763    36,965       X         28-5284   36965
                                                       423,796    40,400       X      X  28-5284   12200      2200   26000
SIEMENS A G               SPONSORED ADR  826197501      52,495       620       X         28-5284     120               500
SIGMA ALDRICH CORP        COM            826552101     519,956     8,600       X         28-5284    8450       150
                                                     1,094,326    18,100       X      X  28-5284   16400      1700
SIMON PPTY GROUP INC NEW  COM            828806109     763,882    11,812       X         28-5284   11337               475
                                                       969,403    14,990       X      X  28-5284   13100      1890
                                                        19,401       300       X         28-4580     300
                                                        16,879       261       X      X  28-4580      25               236
SINCLAIR BROADCAST
   GROUP INC              CL A           829226109         691        75       X         28-5284      75
SIRIUS SATELLITE
   RADIO INC              COM            82966U103     357,188    46,875       X         28-5284   46875
                                                       200,139    26,265       X      X  28-5284   25265              1000
                                                       112,967    14,825       X      X  28-1500   14825
                                                        53,340     7,000       X         28-4580    5000              2000
                                                       731,520    96,000       X                   96000
SIX FLAGS INC             COM            83001P109       2,685       500       X      X  28-1500     500
SIZELER PPTY INVS INC     COM            830137105       5,890       500       X      X  28-5284               500
SKY FINL GROUP INC        COM            83080P103     441,575    15,402       X         28-5284   15402
                                                     1,250,929    43,632       X      X  28-5284   37232      6000     400
0           COLUMN TOTAL                            31,124,452
0
0
0




1                                                               FILE NO. 28-1235
PAGE 154 OF 183                                                   AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- ------- --------- -------
                                                                                       
SKYWORKS SOLUTIONS INC    COM            83088M102      14,277     1,514       X         28-5284    1276               238
                                                        23,311     2,472       X      X  28-5284    1555       469     448
                                                       191,533    20,311       X         28-1500   20311
SLADES FERRY BANCORP      COM            830896106      14,077       700       X         28-5284     700
SMIVTH & NEPHEW PLC       SPDN ADR NEW   83175M205      28,468       550       X         28-5284      50               500
                                                       113,872     2,200       X      X  28-5284              2200
SMITH A O                 COM            831865209      84,281     2,815       X         28-5284    2815
                                                        17,964       600       X      X  28-5284                       600
SMITH INTL INC            COM            832110100   4,219,496    77,550       X         28-5284   60265      1500   15785
                                                       880,191    16,177       X      X  28-5284   11386      4541     250
                                                        64,693     1,189       X         28-4580    1189
                                                         7,563       139       X      X  28-4580     139
SMITHFIELD FOODS INC      COM            832248108      18,494       625       X         28-5284     625
                                                       207,130     7,000       X      X  28-5284    7000
SMUCKER J M CO            COM NEW        832696405   5,884,268   125,011       X         28-5284  111874        80   13057
                                                     1,689,013    35,883       X      X  28-5284   22960     11978     945
                                                        22,923       487       X      X  28-1500     487
                                                         8,755       186       X      X  28-4580     186
SMURFIT-STONE CONTAINER
   CORP                   COM            832727101     174,845     9,360       X         28-5284    9360
                                                       224,160    12,000       X      X  28-5284   12000
SNAP ON INC               COM            833034101      22,849       665       X         28-5284     665
                                                        28,862       840       X      X  28-5284     390       450
SOHU COM INC              COM            83408W103       1,771       100       X      X  28-1500     100
SOLECTRON CORP            COM            834182107     639,573   119,995       X         28-5284   55195             64800
                                                         8,336     1,564       X      X  28-5284    1564
                                                            16         3       X      X  28-1500       3
SONIC CORP                COM            835451105      46,421     1,522       X         28-5284      60              1462
                                                         4,575       150       X      X  28-5284     150
SONICWALL INC             COM            835470105      31,600     5,000       X         28-5284    5000
0            COLUMN TOTAL                           14,673,317
0
0
0




1                                                               FILE NO. 28-1235
PAGE 155 OF 183                                                   AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- ------- --------- -------
                                                                                       
SONOCO PRODS CO           COM            835495102     400,394    13,504       X         28-5284   11504      2000
                                                       492,398    16,607       X      X  28-5284   11641       577    4389
SONY CORP                 ADR NEW        835699307     116,490     2,990       X         28-5284    2435               555
                                                       335,446     8,610       X      X  28-5284    8610
SONUS NETWORKS INC        COM            835916107       5,730     1,000       X      X  28-5284    1000
SOURCE CAP INC            COM            836144105     479,890     6,708       X         28-5284    6708
SOUTH FINL GROUP INC      COM            837841105   9,355,628   287,600       X         28-1500  287600
SOUTH JERSEY INDS INC     COM            838518108     463,474     8,818       X         28-5284    8818
                                                     1,328,717    25,280       X      X  28-5284   25280
SOUTHERN CO               COM            842587107   8,334,446   248,641       X         28-5284  225466      1200   21975
                                                    12,755,332   380,529       X      X  28-5284  256511     59505   64513
                                                       387,022    11,546       X         28-1500             11546
                                                       329,770     9,838       X         28-4580    8038              1800
                                                       342,776    10,226       X      X  28-4580    6726              3500
SOUTHERN CMNTY FINL CORP
   VA                     COM            84263N105     371,200    32,000       X      X  28-5284   32000
SOUTHERN CMNTY FINL CORP
   VA                     *W EXP 09/27/2 84263N113      23,400    12,000       X      X  28-5284   12000
SOUTHERN UN CO NEW        COM            844030106     369,508    15,409       X         28-5284   15409
                                                       320,876    13,381       X      X  28-5284    2242     10089    1050
SOUTHSIDE BANCSHARES INC  COM            84470P109     138,943     6,078       X      X  28-5284    6078
SOUTHWEST AIRLS CO        COM            844741108     372,063    22,854       X         28-5284   20211              2643
                                                       345,136    21,200       X      X  28-5284   10488      5300    5412
                                                         6,105       375       X      X  28-1500     375
                                                       114,562     7,037       X      X  28-4580    4000      3037
SOUTHWEST BANCORPORATION
   TEX                    COM            84476R109       4,658       200       X      X  28-5284     200
SOUTHWEST WTR CO          COM            845331107      77,808     5,785       X         28-5284              5785
                                                        87,062     6,473       X      X  28-5284    5373              1100
                                                         6,725       500       X      X  28-1500     500
             COLUMN TOTAL                           37,365,559
0
0
0
0




1                                                               FILE NO. 28-1235
PAGE 156 OF 183                                                   AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- ------- --------- -------
                                                                                       
SOUTHWESTERN ENERGY CO    COM            845467109       5,627       111       X         28-5284     111
                                                        41,059       810       X      X  28-5284     510               300
                                                       152,070     3,000       X      X  28-4580    3000
SOVEREIGN BANCORP INC     COM            845905108     732,266    32,473       X         28-5284   32473
                                                     1,043,930    46,294       X      X  28-5284   14009     29944    2341
                                                        11,275       500       X      X  28-4580     500
                                                     1,878,415    83,300       X                   83300
SOVRAN SELF STORAGE INC   COM            84610H108      84,280     2,000       X         28-5284    2000
SPECTRASITE INC           COM            84761M104       5,790       100       X      X  28-5284     100
SPINNAKER EXPL CO         COM            84855W109       3,507       100       X      X  28-5284     100
SPRINT CORP               COM FON        852061100   5,067,064   203,906       X         28-5284  166465      7455   29986
                                                     8,326,017   335,051       X      X  28-5284  159065    166286    9700
                                                        53,577     2,156       X         28-4580    2156
                                                        22,961       924       X      X  28-4580     924
                                                     1,905,995    76,700       X                   76700
SS&C TECHNOLOGIES INC     COM            85227Q100      20,650     1,000       X      X  28-5284                      1000
STAAR SURGICAL CO         COM PAR $0.01  852312305         583        93       X         28-1500      93
STANCORP FINL GROUP INC   COM            852891100       9,735       118       X         28-5284     118
STANDARD MICROSYSTEMS
   CORP                   COM            853626109       1,694        95       X         28-5284      95
STANDARD PAC CORP NEW     COM            85375C101       3,207        50       X         28-5284      50
STANLEY FURNITURE INC     COM NEW        854305208       2,832        63       X         28-5284      63
                                                         8,990       200       X      X  28-5284     200
STANLEY WKS               COM            854616109     156,768     3,200       X         28-5284    2600       600
                                                       133,743     2,730       X      X  28-5284    1780       150     800
STAPLES INC               COM            855030102   5,381,431   159,639       X         28-5284   92989             66650
                                                     2,800,323    83,071       X      X  28-5284   76445      3536    3090
                                                        14,630       434       X         28-1500     434
                                                       141,784     4,206       X      X  28-1500    4206
STAR GAS PARTNERS L P     UNIT LTD PARTN 85512C105       8,940     1,200       X         28-5284    1200
                                                         8,940     1,200       X      X  28-5284    1200
             COLUMN TOTAL                           28,028,083
0
0
0
0




1                                                               FILE NO. 28-1235
PAGE 157 OF 183                                                   AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- ------- --------- -------
                                                                                        
STARBUCKS CORP            COM            855244109     403,469     6,470       X         28-5284    5770               700
                                                       327,390     5,250       X      X  28-5284    3750      1000     500
                                                       177,352     2,844       X      X  28-1500    2844
                                                        26,565       426       X      X  28-4580                       426
STATE AUTO FINL CORP      COM            855707105       5,170       200       X         28-5284     200
STARWOOD HOTELS&RESORTS
   WRLD                   PAIRED CTF     85590A203     935,977    16,027       X         28-5284   16027
                                                       104,770     1,794       X      X  28-5284    1116        78     600
STATE STR CORP            COM            857477103   4,591,639    93,478       X         28-5284   88878      4600
                                                     7,347,812   149,589       X      X  28-5284  133796     15793
                                                        55,014     1,120       X         28-4580    1120
                                                       412,608     8,400       X      X  28-4580    2400      6000
STATION CASINOS INC       COM            857689103       3,062        56       X      X  28-4580       3                53
STEAK N SHAKE CO          COM            857873103      48,192     2,400       X         28-5284    2400
STEEL DYNAMICS INC        COM            858119100      18,940       500       X         28-5284     500
                                                       439,408    11,600       X      X  28-5284   11600
STEEL TECHNOLOGIES INC    COM            858147101      27,510     1,000       X         28-5284                      1000
                                                        82,310     2,992       X         28-1500    2992
STEELCLOUD INC            COM            85815M107         382       200       X      X  28-1500     200
STEIN MART INC            COM            858375108       1,621        95       X         28-5284      95
STERLING BANCSHARES INC   COM            858907108      10,703       750       X         28-5284     750
STERICYCLE INC            COM            858912108      27,570       600       X         28-5284     600
STERIS CORP               COM            859152100      79,106     3,335       X         28-5284    3335
                                                         4,744       200       X      X  28-5284                       200
STERLING FINL CORP        COM            859317109     203,270     7,090       X         28-5284    7090
STEWART ENTERPRISES INC   CL A           860370105       8,388     1,200       X         28-5284    1200
STONERIDGE INC            COM            86183P102       1,513       100       X         28-5284     100
STORA ENSO CORP           SPON ADR REP R 86210M106     231,314    15,208       X         28-5284   15208
             COLUMN TOTAL                           15,575,799
0
0
0
0




1                                                               FILE NO. 28-1235
PAGE 158 OF 183                                                   AS OF 12/31/04

     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     128,147     4,054       X         28-5284    3904       150
                                                        47,415     1,500       X      X  28-5284     100              1400
STRATEGIC DIAGNOSTICS INC COM            862700101      14,000     4,000       X         28-5284    4000
                                                         1,190       340       X      X  28-5284     340
STRATTEC SEC CORP         COM            863111100     240,461     3,840       X         28-5284    3840
                                                        25,048       400       X      X  28-5284     400
STRAYER ED INC            COM            863236105         549         5       X         28-5284       5
STREETTRACKS SER TR       DJ LRG CAP GRW 86330E109      21,803       450       X         28-5284     450
STREETTRACKS SER TR       DJ LRG CAP VAL 86330E208      16,399       120       X         28-5284     120
STREETTRACKS SER TR       WILSHIRE REIT  86330E604     709,052     3,780       X         28-5284    2845               935
                                                     1,049,698     5,596       X      X  28-5284    3853              1743
STRYKER CORP              COM            863667101  64,939,000 1,345,886       X         28-5284 1255739     25842   64305
                                                    30,553,492   633,233       X      X  28-5284  429931    160922   42380
                                                        73,919     1,532       X         28-1500     232      1300
                                                     1,102,464    22,849       X         28-4580   22001               848
                                                       298,475     6,186       X      X  28-4580    5282       580     324
STUDENT LN CORP           COM            863902102       2,760        15       X         28-5284      15
STURGIS BANCORP INC       COM            864087101      59,757     4,079       X         28-1500    4079
STURM RUGER & CO INC      COM            864159108       4,515       500       X         28-5284     500
SUBURBAN PROPANE
   PARTNERS L             UNIT LTD PARTN 864482104      13,904       400       X         28-5284     400
SUMMIT PPTYS INC          COM            866239106      45,584     1,400       X      X  28-5284     800       600
SUN BANCORP INC           COM            86663B102      39,755     1,634       X      X  28-5284    1634
                                                    12,238,988   503,041       X         28-1500  503041
SUN INC                   SDCV  6.750% 6 866762AG2   1,920,000    10,000       X      X  28-5284   10000
SUN LIFE FINL INC         COM            866796105   1,583,222    47,204       X         28-5284   34129             13075
                                                       115,847     3,454       X      X  28-5284    2802       652
0            COLUMN TOTAL                          115,245,444
0
0
0




1                                                               FILE NO. 28-1235
PAGE 159 OF 183                                                   AS OF 12/31/04

     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   1,122,209   208,202       X         28-5284  198787      4300    5115
                                                       711,081   131,926       X      X  28-5284   70191     48585   13150
                                                        11,562     2,145       X         28-1500              2145
SUNCOR ENERGY INC         COM            867229106     412,976    11,666       X         28-5284    8166              3500
                                                        14,160       400       X         28-1500               400
                                                        10,620       300       X      X  28-4580     300
SUNGARD DATA SYS INC      COM            867363103  35,849,774 1,265,435       X         28-5284 1190730     11505   63200
                                                    14,668,821   517,784       X      X  28-5284  314392    184107   19285
                                                       580,652    20,496       X         28-4580   19540               956
                                                       254,233     8,974       X      X  28-4580    6804      2170
SUNOCO LOGISTICS PRTNRS
   L P                    COM UNITS      86764L108     129,150     3,000       X         28-5284                      3000
                                                       447,720    10,400       X      X  28-5284             10400
SUNOCO INC                COM            86764P109     355,520     4,351       X         28-5284    4351
                                                     2,550,823    31,218       X      X  28-5284   25435      5783
SUNSTONE HOTEL INVS INC
   NEW                    COM            867892101     110,757     5,330       X         28-5284    5330
SUNTRUST BKS INC          COM            867914103   4,194,389    56,773       X         28-5284   54953              1820
                                                     4,868,396    65,896       X      X  28-5284   45945     18261    1690
SUPERIOR INDS INTL INC    COM            868168105       2,905       100       X         28-5284     100
                                                        34,860     1,200       X      X  28-5284     200              1000
                                                        29,050     1,000       X         28-4580    1000
SUPERVALU INC             COM            868536103     128,829     3,732       X         28-5284     675              3057
SUSQUEHANNA BANCSHARES
   INC P                  COM            869099101      23,703       950       X         28-5284     950
                                                       383,631    15,376       X      X  28-5284    6045      8200    1131
SWIFT ENERGY CO           COM            870738101       2,894       100       X         28-5284     100
                                                        17,364       600       X      X  28-5284     600
SWISS HELVETIA FD INC     COM            870875101     163,329    10,925       X      X  28-5284             10925
SYBASE INC                COM            871130100       2,993       150       X         28-5284     150
SYBRON DENTAL SPECIALTIES
   IN                     COM            871142105         142         4       X         28-5284       4
                                                        23,563       666       X      X  28-5284                       666
0            COLUMN TOTAL                           67,106,106
0
0
0




1                                                               FILE NO. 28-1235
PAGE 160 OF 183                                                   AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- ------- --------- -------
                                                                                      
SYCAMORE NETWORKS INC     COM            871206108         122        30       X         28-5284      30
SYMANTEC CORP             COM            871503108     713,269    27,689       X         28-5284   27689
                                                       250,130     9,710       X      X  28-5284    3810      5900
                                                       128,182     4,976       X         28-1500    1399      3577
SYMBOL TECHNOLOGIES INC   COM            871508107     100,254     5,795       X      X  28-5284    5795
                                                        78,161     4,518       X      X  28-1500    4518
SYMS CORP                 COM            871551107       2,430       200       X         28-5284     200
SYNGENTA AG               SPONSORED ADR  87160A100       7,003       328       X         28-5284     328
SYNOVUS FINL CORP         COM            87161C105  50,296,056 1,759,834       X         28-5284 1305647            454187
                                                     5,788,165   202,525       X      X  28-5284  197025              5500
                                                     4,843,253   169,463       X         28-1500  153679     15784
SYNERGY FINANCIAL GROUP
   INC                    COM            87162V102       6,720       500       X         28-5284     500
SYPRIS SOLUTIONS INC      COM            871655106     239,938    15,672       X         28-1500   14076      1596
SYSCO CORP                COM            871829107  52,865,908 1,385,012       X         28-5284 1343685     13055   28272
                                                    17,863,522   467,999       X      X  28-5284  273310    119057   75632
                                                        80,348     2,105       X      X  28-1500    2105
                                                       309,597     8,111       X         28-4580    8111
                                                       636,141    16,666       X      X  28-4580   10656      6010
TCF FINL CORP             COM            872275102     533,524    16,600       X         28-5284   16600
                                                        77,136     2,400       X      X  28-5284    1000              1400
TC PIPELINES LP           UT COM LTD PRT 87233Q108      26,453       700       X         28-5284     700
                                                       151,160     4,000       X      X  28-5284    4000
TCW CONV SECS FD INC      COM            872340104       7,349     1,371       X      X  28-5284    1371
TDK CORP                  AMERN DEP SH   872351408       1,188        16       X         28-5284      16
TECO ENERGY INC           COM            872375100     360,188    23,465       X         28-5284   19265      4200
                                                     1,062,312    69,206       X      X  28-5284   22320     38886    8000
                                                        13,815       900       X         28-1500               900
                                                         3,423       223       X      X  28-4580     223
TEL OFFSHORE TR           UNIT BEN INT   872382106       1,070       100       X      X  28-5284               100
0            COLUMN TOTAL                          136,446,817
0
0
0




1                                                               FILE NO. 28-1235
PAGE 161 OF 183                                                   AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- ------- --------- -------
                                                                                      
TEPPCO PARTNERS L P       UT LTD PARTNER 872384102     577,064    14,650       X         28-5284   14650
                                                       271,791     6,900       X      X  28-5284              6300     600
                                                        11,817       300       X      X  28-1500     300
THQ INC                   COM NEW        872443403       4,267       186       X         28-1500      14       172
TIB FINL CORP             COM            872449103     236,068     9,305       X      X  28-5284    9305
TJX COS INC NEW           COM            872540109  57,832,850 2,301,347       X         28-5284 2046145      9100  246102
                                                    14,087,526   560,586       X      X  28-5284  452506     89015   19065
                                                     2,768,874   110,182       X         28-1500  110182
                                                     1,109,188    44,138       X         28-4580   43746               392
                                                       134,697     5,360       X      X  28-4580    4390       970
TS&W CLAYMORE TAX ADVNTG
   BL                     COM            87280R108      27,240     2,000       X      X  28-5284                      2000
TVI CORP NEW              COM            872916101       6,675     1,500       X         28-5284    1500
TXU CORP                  COM            873168108     864,846    13,396       X         28-5284   11796              1600
                                                     1,213,857    18,802       X      X  28-5284    7726     11076
                                                       140,289     2,173       X      X  28-1500    2173
                                                         4,261        66       X      X  28-4580      66
TAIWAN SEMICONDUCTOR MFG
   LTD                    SPONSORED ADR  874039100      13,720     1,616       X         28-5284    1616
                                                         5,654       666       X      X  28-5284     666
                                                       325,167    38,300       X      X  28-1500   38300
TAKE-TWO INTERACTIVE
   SOFTWAR                COM            874054109       1,740        50       X         28-5284      50
                                                         3,479       100       X      X  28-5284     100
TALBOTS INC               COM            874161102       2,723       100       X      X  28-5284     100
TANGER FACTORY OUTLET
   CTRS I                 COM            875465106      10,584       400       X         28-5284     400
                                                       799,092    30,200       X      X  28-5284   28000      2200
TARGET CORP               COM            87612E106 186,805,244 3,597,251       X         28-5284 2762973      3063  831215
                                                    11,574,003   222,877       X      X  28-5284  167580     46772    8525
                                                       354,422     6,825       X         28-1500              6825
                                                       258,092     4,970       X         28-4580    4970
                                                     1,459,389    28,103       X      X  28-4580   28103
TASER INTL INC            COM            87651B104      74,378     2,350       X         28-5284    2350
                                                       161,415     5,100       X                    5100
0            COLUMN TOTAL                          281,140,412
0
0
0




1                                                               FILE NO. 28-1235
PAGE 162 OF 183                                                   AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- ------- --------- -------
                                                                                       
TASTY BAKING CO           COM            876553306      22,248     2,750       X         28-5284    2750
                                                         6,068       750       X      X  28-5284     750
TECH DATA CORP            COM            878237106       2,906        64       X         28-5284      64
TECHNITROL INC            COM            878555101      15,470       850       X      X  28-5284     850
TECUMSEH PRODS CO         CL B           878895101      93,829     2,050       X         28-5284    2050
TECUMSEH PRODS CO         CL A           878895200     205,540     4,300       X         28-5284    4300
TEGAL CORP                COM            879008100       2,445     1,500       X         28-5284    1500
TEKTRONIX INC             COM            879131100      23,926       792       X         28-5284     792
TELE NORTE LESTE PART S A SPON ADR PFD   879246106          34         2       X      X  28-1500       2
TELECOM ARGENTINA S A     SPON ADR REP B 879273209       4,779       436       X         28-5284     436
TELECOM CORP NEW ZEALAND
   LTD                    SPONSORED ADR  879278208     130,847     3,690       X      X  28-5284    2190              1500
                                                       177,300     5,000       X      X  28-1500    5000
TELEDYNE TECHNOLOGIES INC COM            879360105         824        28       X      X  28-5284                        28
TELEFLEX INC              COM            879369106   4,000,575    77,023       X         28-5284   48056             28967
                                                       524,594    10,100       X      X  28-5284    5600      4500
                                                       262,297     5,050       X      X  28-1500    5050
TELEFONICA S A            SPONSORED ADR  879382208     407,422     7,211       X         28-5284    6211              1000
                                                       460,701     8,154       X      X  28-5284    8134                20
                                                        20,792       368       X      X  28-4580     368
TELEFONOS DE MEXICO S A   SPON ADR A SHS 879403707      67,361     1,768       X         28-5284    1768
TELEFONOS DE MEXICO S A   SPON ADR ORD L 879403780     164,699     4,298       X         28-5284    4298
                                                        53,648     1,400       X      X  28-5284    1400
TELEPHONE & DATA SYS INC  COM            879433100      38,475       500       X         28-5284     500
                                                         7,695       100       X      X  28-5284     100
TELKONET INC              COM            879604106      27,800     5,000       X         28-5284    5000
0            COLUMN TOTAL                            6,722,275
0
0
0




1                                                               FILE NO. 28-1235
PAGE 163 OF 183                                                   AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- ------- --------- -------
                                                                                       
TELLABS INC               COM            879664100      15,290     1,780       X         28-5284    1180               600
                                                         6,443       750       X      X  28-5284     750
                                                         2,577       300       X      X  28-1500     300
TEMPLE INLAND INC         COM            879868107      30,096       440       X         28-5284     440
                                                        58,824       860       X      X  28-5284     860
TEMPLETON DRAGON FD INC   COM            88018T101      13,976       800       X         28-5284     800
                                                       380,846    21,800       X      X  28-5284   21800
TEMPLETON EMERGING MKTS
   FD I                   COM            880191101      70,950     4,300       X      X  28-5284    4300
TEMPLETON EMERG MKTS
   INCOME                 COM            880192109      90,362     6,567       X         28-5284    6567
                                                       158,845    11,544       X      X  28-5284   10544      1000
TEMPLETON GLOBAL INCOME
   FD                     COM            880198106      77,663     7,821       X         28-5284    7821
                                                        24,825     2,500       X      X  28-5284    2500
TEMPUR PEDIC INTL INC     COM            88023U101      11,448       540       X         28-5284     540
                                                       720,800    34,000       X      X  28-5284   34000
TENET HEALTHCARE CORP     COM            88033G100      15,262     1,390       X         28-5284    1390
                                                        10,980     1,000       X      X  28-5284    1000
TENNANT CO                COM            880345103      15,860       400       X      X  28-1500     400
TENNECO AUTOMOTIVE INC    COM            880349105         190        11       X         28-5284      11
                                                         7,948       461       X      X  28-5284       7       454
TERADYNE INC              COM            880770102     231,025    13,534       X         28-5284   12334      1200
                                                        59,847     3,506       X      X  28-5284    2200      1306
                                                       109,248     6,400       X      X  28-4580    6400
TEREX CORP NEW            COM            880779103      45,268       950       X         28-5284     950
TETRA TECH INC NEW        COM            88162G103       4,637       277       X         28-5284     277
TEVA PHARMACEUTICAL INDS
   LTD                    ADR            881624209  33,849,684 1,133,613       X         28-5284 1080504     13952   39157
                                                    10,410,032   348,628       X      X  28-5284  220914    108827   18887
                                                        72,411     2,425       X      X  28-1500    2425
                                                       631,061    21,134       X         28-4580   20261               873
                                                       147,598     4,943       X      X  28-4580    3983       960
0            COLUMN TOTAL                           47,273,996
0
0
0




1                                                               FILE NO. 28-1235
PAGE 164 OF 183                                                   AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- ------- --------- -------
                                                                                       
TEXAS INDS INC            COM            882491103     686,180    11,000       X      X  28-5284   11000
TEXAS INSTRS INC          COM            882508104  23,737,471   964,154       X         28-5284  846749     60155   57250
                                                    22,453,391   911,998       X      X  28-5284  722369     93919   95710
                                                         9,208       374       X         28-1500     374
                                                        46,778     1,900       X      X  28-1500    1900
                                                        84,077     3,415       X         28-4580    3415
                                                        27,698     1,125       X      X  28-4580    1125
TEXAS PAC LD TR           SUB CTF PROP I 882610108      13,505       100       X      X  28-5284     100
TEXAS ROADHOUSE INC       CL A           882681109      86,286     2,920       X         28-1500    2920
TEXAS UTD BANCSHARES INC  COM            882838105     197,500    10,000       X      X  28-5284   10000
TEXTRON INC               COM            883203101     437,265     5,925       X         28-5284    5925
                                                       664,643     9,006       X      X  28-5284    3524      5482
TEXTRON INC               PFD CONV $2.08 883203200      60,000       200       X         28-5284     200
THERMO ELECTRON CORP      COM            883556102      52,229     1,730       X         28-5284     330              1400
                                                        13,344       442       X      X  28-4580     442
THERMOVIEW INDS INC       COM NEW        883671505       2,080     4,000       X      X  28-5284    4000
THOMAS & BETTS CORP       COM            884315102   1,549,154    50,379       X         28-5284   48779              1600
                                                       117,434     3,819       X      X  28-5284    1049              2770
THOMAS INDS INC           COM            884425109   1,909,693    47,838       X         28-5284   47838
                                                       269,939     6,762       X      X  28-5284    6762
THOR INDS INC             COM            885160101      44,460     1,200       X         28-5284    1200
THORATEC CORP             COM NEW        885175307       3,126       300       X         28-5284     300
THORNBURG MTG INC         COM            885218107     251,952     8,700       X         28-5284    8700
                                                       486,528    16,800       X      X  28-5284   15700      1100
                                                        26,788       925       X      X  28-1500     925
                                                        10,541       364       X      X  28-4580     364
3COM CORP                 COM            885535104       4,816     1,155       X         28-5284    1155
                                                         5,425     1,301       X      X  28-5284     701               600
                                                       188,430    45,187       X         28-1500   45187
0             COLUMN TOTAL                          53,439,941
0
0
0




1                                                               FILE NO. 28-1235
PAGE 165 OF 183                                                   AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- ------- --------- -------
                                                                                       
3M CO                     COM            88579Y101 130,881,297 1,594,752       X         28-5284 1474995     27276   92481
                                                   108,059,846 1,316,679       X      X  28-5284  768166    492193   56320
                                                     1,004,783    12,243       X         28-1500    1856     10387
                                                     4,327,715    52,732       X         28-4580   52732
                                                     7,013,046    85,452       X      X  28-4580   80476      1300    3676
TIBCO SOFTWARE INC        COM            88632Q103      42,168     3,161       X         28-5284    3161
                                                       352,843    26,450       X      X  28-1500   26450
TIDEWATER INC             COM            886423102     153,123     4,300       X         28-5284    4300
TIERONE CORP              COM            88650R108      19,880       800       X         28-5284     800
TIFFANY & CO NEW          COM            886547108      50,513     1,580       X         28-5284    1530                50
                                                       613,472    19,189       X      X  28-5284   17099       190    1900
                                                         8,248       258       X      X  28-1500     258
TIME WARNER INC           COM            887317105   8,912,904   458,247       X         28-5284  440268      3520   14459
                                                     4,580,281   235,490       X      X  28-5284  133253     72382   29855
                                                       268,021    13,780       X         28-1500             13780
                                                       212,589    10,930       X         28-4580   10930
                                                        11,670       600       X      X  28-4580     600
                                                     2,378,735   122,300       X                  122300
TIMKEN CO                 COM            887389104       5,204       200       X         28-5284     200
                                                       108,712     4,178       X      X  28-5284    4000       178
TITANIUM METALS CORP      COM NEW        888339207      24,140     1,000       X         28-5284    1000
TIVO INC                  COM            888706108      11,740     2,000       X         28-5284    2000
TODCO                     CL A           88889T107     110,520     6,000       X         28-5284    6000
TOLL BROTHERS INC         COM            889478103      98,112     1,430       X         28-5284    1330       100
                                                        68,610     1,000       X      X  28-5284     400               600
TOLLGRADE COMMUNICATIONS
   INC                    COM            889542106      98,532     8,050       X         28-5284    8050
                                                        15,300     1,250       X      X  28-5284    1050               200
TOMPKINSTRUSTCO INC       COM            890110109      11,768       220       X         28-5284                       220
TOO INC                   COM            890333107       1,027        42       X         28-5284      42
0            COLUMN TOTAL                          269,444,799
0
0
0




1                                                               FILE NO. 28-1235
PAGE 166 OF 183                                                   AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- ------- --------- -------
                                                                                       
TOOTSIE ROLL INDS INC     COM            890516107   2,466,730    71,231       X         28-5284   44082             27149
                                                       121,344     3,504       X      X  28-5284    2243              1261
TOPPS INC                 COM            890786106       9,750     1,000       X         28-5284    1000
TORCHMARK CORP            COM            891027104     414,265     7,250       X         28-5284    7250
TORO CO                   COM            891092108      16,270       200       X         28-5284     200
                                                       772,825     9,500       X      X  28-5284    9500
TOTAL S A                 SPONSORED ADR  89151E109     546,674     4,977       X         28-5284    3577              1400
                                                       764,596     6,961       X      X  28-5284    6961
                                                        56,018       510       X         28-4580     510
                                                        18,673       170       X      X  28-4580      14               156
TOWN & CTRY TR            SH BEN INT     892081100      92,091     3,333       X         28-5284    3333
TOYOTA MOTOR CORP         SP ADR REP2COM 892331307     437,186     5,340       X         28-5284    5140               200
                                                       257,481     3,145       X      X  28-5284     800      2345
TOYS R US INC             COM            892335100       9,764       477       X         28-5284     477
                                                        13,306       650       X      X  28-5284     650
TPG N V                   SPONSORED ADR  892339102       1,662        61       X         28-5284      61
TRACTOR SUPPLY CO         COM            892356106      11,163       300       X         28-5284     300
                                                         1,861        50       X      X  28-5284      50
                                                        87,816     2,360       X      X  28-1500    2360
TRANSAMERICA INCOME SHS
   INC                    COM            893506105       8,928       400       X      X  28-5284     400
TRANSATLANTIC HLDGS INC   COM            893521104     145,239     2,349       X         28-5284    2349
TRANSCANADA CORP          COM            89353D107      93,263     3,750       X         28-5284    3750
TREDEGAR CORP             COM            894650100      27,284     1,350       X         28-5284    1350
                                                        24,252     1,200       X      X  28-4580              1200
TREND MICRO INC           SPONS ADR NEW  89486M206     273,250     5,000       X      X  28-5284    5000
TRI CONTL CORP            COM            895436103     267,802    14,650       X         28-5284   11554              3096
                                                       176,932     9,679       X      X  28-5284    1800      5845    2034
0            COLUMN TOTAL                            7,116,425
0
0
0




1                                                               FILE NO. 28-1235
PAGE 167 OF 183                                                   AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- ------- --------- -------
                                                                                      
TRIAD HOSPITALS INC       COM            89579K109      58,085     1,561       X         28-5284    1530                31
                                                         4,614       124       X      X  28-5284     124
TRIDENT MICROSYSTEMS INC  COM            895919108       9,029       540       X         28-5284     540
TRIAD GTY INC             COM            895925105      15,664       259       X      X  28-5284               259
TRIBUNE CO NEW            COM            896047107     768,339    18,233       X         28-5284   18233
                                                       564,212    13,389       X      X  28-5284   12689       700
TRINITY INDS INC          COM            896522109     181,817     5,335       X         28-5284    5335
TRITON PCS HLDGS INC      CL A           89677M106      17,100     5,000       X         28-5284    5000
TRIUMPH GROUP INC NEW     COM            896818101      23,700       600       X         28-5284     600
TRIZEC PROPERTIES INC     COM            89687P107      13,244       700       X         28-5284     700
TRIPATH IMAGING INC       COM            896942109       8,970     1,000       X         28-5284                      1000
TRUSTCO BK CORP N Y       COM            898349105      50,609     3,670       X      X  28-5284    3670
TRUSTMARK CORP            COM            898402102      46,605     1,500       X         28-5284    1500
                                                        93,117     2,997       X      X  28-1500    2997
TUESDAY MORNING CORP      COM NEW        899035505       9,189       300       X         28-5284     300
TUPPERWARE CORP           COM            899896104     110,023     5,310       X         28-5284    5310
                                                        54,141     2,613       X      X  28-5284     638      1975
TUTOGEN MEDICAL INC       COM            901107102      26,241    10,372       X         28-5284   10372
II VI INC                 COM            902104108     114,723     2,700       X         28-5284    2700
                                                       852,689    20,068       X      X  28-5284   20068
TYCO INTL LTD NEW         COM            902124106  21,673,272   606,415       X         28-5284  487646      1900  116869
                                                     5,097,489   142,627       X      X  28-5284   66516     58716   17395
                                                     2,772,388    77,571       X         28-1500   77571
                                                       486,278    13,606       X      X  28-1500   13606
                                                        28,806       806       X         28-4580     806
                                                       260,652     7,293       X      X  28-4580    7293
                                                     1,268,770    35,500       X                   35500
0            COLUMN TOTAL                           34,609,766
0
0
0




1                                                               FILE NO. 28-1235
PAGE 168 OF 183                                                   AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- ------- --------- -------
                                                                                      
TYSON FOODS INC           CL A           902494103      23,478     1,276       X         28-5284    1276
                                                        50,600     2,750       X      X  28-5284    2750
UCBH HOLDINGS INC         COM            90262T308       9,164       200       X      X  28-5284     200
UGI CORP NEW              COM            902681105     292,957     7,161       X         28-5284    7161
                                                       541,239    13,230       X      X  28-5284    8238      4992
UIL HLDG CORP             COM            902748102      41,040       800       X         28-5284     800
                                                        23,085       450       X      X  28-5284     450
UST INC                   COM            902911106     674,983    14,030       X         28-5284   14030
                                                     3,629,948    75,451       X      X  28-5284   73251      2200
                                                        62,543     1,300       X         28-4580    1300
USA TRUCK INC             COM            902925106      54,060     3,180       X      X  28-1500    3180
U S RESTAURANT PPTYS INC  COM            902971100       2,709       150       X      X  28-5284               150
US BANCORP DEL            COM NEW        902973304 108,426,583 3,461,896       X         28-5284 3093330      5207  363359
                                                    18,115,645   578,405       X      X  28-5284  422893     56489   99023
                                                    11,686,369   373,128       X         28-1500  284378     88750
                                                        66,806     2,133       X         28-4580    2133
U S G CORP                COM NEW        903293405     173,443     4,307       X         28-5284    4307
                                                       116,259     2,887       X      X  28-5284    2887
USEC INC                  COM            90333E108      58,140     6,000       X         28-5284    6000
                                                         9,690     1,000       X      X  28-5284    1000
U S PHYSICAL THERAPY INC  COM            90337L108       3,084       200       X      X  28-1500     200
ULTRALIFE BATTERIES INC   COM            903899102      77,800     4,000       X      X  28-5284    4000
UNIFIRST CORP MASS        COM            904708104     141,400     5,000       X         28-5284    5000
UNILEVER PLC              SPON ADR NEW   904767704      96,824     2,450       X         28-5284    2450
                                                        59,715     1,511       X      X  28-5284     597       400     514
                                                        28,217       714       X      X  28-4580     714
0            COLUMN TOTAL                          144,465,781
0
0
0




1                                                               FILE NO. 28-1235
PAGE 169 OF 183                                                   AS OF 12/31/04

     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 N V              N Y SHS NEW    904784709  13,940,722   208,975       X         28-5284  201943      2300    4732
                                                    11,053,647   165,697       X      X  28-5284  107781     54085    3831
                                                       114,141     1,711       X         28-4580    1611               100
                                                        42,561       638       X      X  28-4580     638
UNION BANKSHARES CORP     COM            905399101   2,801,547    72,900       X         28-1500   72900
UNION BANKSHARES INC      COM            905400107      95,200     4,000       X      X  28-5284    4000
UNION PAC CORP            COM            907818108  27,917,493   415,130       X         28-5284  398682      5475   10973
                                                    13,984,570   207,949       X      X  28-5284  131121     67948    8880
                                                         1,681        25       X         28-1500      25
                                                       291,865     4,340       X         28-4580    4340
                                                       251,515     3,740       X      X  28-4580    2740      1000
UNIONBANCAL CORP          COM            908906100   3,649,568    56,600       X         28-1500   56600
UNISYS CORP               COM            909214108      54,514     5,355       X         28-5284    5355
                                                        43,805     4,303       X      X  28-5284    4303
UNIT CORP                 COM            909218109     152,840     4,000       X      X  28-5284    4000
UNITED BANKSHARES INC
   WEST V                 COM            909907107   1,564,112    40,999       X         28-5284   40999
                                                       119,028     3,120       X      X  28-5284    3120
UNITED BANCORP INC OHIO   COM            909911109      55,614     3,735       X         28-5284    3735
UNITED DOMINION REALTY
TR IN                     COM            910197102      81,443     3,284       X         28-5284    3284
                                                       325,624    13,130       X      X  28-5284    3130     10000
UNITED FIRE & CAS CO      COM            910331107       1,820        54       X         28-5284      54
UNITED INDL CORP          COM            910671106     116,220     3,000       X      X  28-5284    2800               200
UNITED NATL GROUP LTD     CL A           91103X102  46,318,535 2,487,569       X      X  28-5284           2487569
UNITED NAT FOODS INC      COM            911163103     180,380     5,800       X      X  28-5284    5800
UNITED ONLINE INC         COM            911268100     108,163     9,381       X         28-1500    9381
0            COLUMN TOTAL                          123,266,608
0
0
0




1                                                               FILE NO. 28-1235
PAGE 170 OF 183                                                   AS OF 12/31/04

     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 PARCEL SERVICE INC CL B           911312106 121,552,151 1,422,328       X         28-5284 1363270      1375   57683
                                                    46,633,727   545,679       X      X  28-5284  511929     17500   16250
                                                       245,270     2,870       X         28-1500              2870
                                                        55,549       650       X         28-4580     650
                                                        41,021       480       X      X  28-4580     480
UNITED SEC BANCSHARES INC SHS            911459105   9,020,700   270,000       X         28-1500  270000
UNITED STATES STL CORP
   NEW                    COM            912909108   7,809,116   152,373       X         28-5284  152373
                                                       202,694     3,955       X      X  28-5284    1364      2293     298
UNITED TECHNOLOGIES CORP  COM            913017109 101,130,972   978,529       X         28-5284  920166     11760   46603
                                                    79,839,425   772,515       X      X  28-5284  567106    124069   81340
                                                        75,756       733       X         28-1500               733
                                                     2,561,736    24,787       X         28-4580   24338               449
                                                     1,596,447    15,447       X      X  28-4580   14036      1340      71
UNITEDHEALTH GROUP INC    COM            91324P102  18,877,593   214,445       X         28-5284  180441      4448   29556
                                                     7,060,622    80,207       X      X  28-5284   34813      8745   36649
                                                        48,417       550       X      X  28-1500     550
                                                     1,509,274    17,145       X         28-4580   17145
                                                         4,402        50       X      X  28-4580                50
UNITEDGLOBALCOM           CL A           913247508      61,872     6,405       X         28-5284    6405
UNITRIN INC               COM            913275103     328,285     7,223       X         28-5284    6423               800
UNIVERSAL AMERN FINL CORP COM            913377107       7,735       500       X         28-5284     500
                                                         4,641       300       X      X  28-5284     300
UNIVERSAL CORP VA         COM            913456109      12,725       266       X         28-5284     266
                                                        47,840     1,000       X      X  28-5284     400       600
UNIVERSAL DISPLAY CORP    COM            91347P105       4,500       500       X      X  28-5284                       500
UNIVERSAL ELECTRS INC     COM            913483103      17,600     1,000       X         28-5284                      1000
UNIVERSAL HEALTH RLTY
   INCM T                 SH BEN INT     91359E105     102,816     3,200       X      X  28-5284    3200
UNIVERSAL HLTH SVCS INC   CL B           913903100      41,385       930       X         28-5284     930
UNIVISION COMMUNICATIONS
   INC                    CL A           914906102      13,464       460       X         28-5284     460
                                                        43,173     1,475       X      X  28-5284    1475
0            COLUMN TOTAL                          398,950,908
0
0
0




1                                                               FILE NO. 28-1235
PAGE 171 OF 183                                                   AS OF 12/31/04

     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
------------------------- -------------- --------- ------------- ---------- ------- ------ -------- ------- --------- -------
                                                                                           
UNIVEST CORP PA           COM            915271100       172,575      3,750       X      X  28-5284              3750
UNOCAL CORP               COM            915289102       471,878     10,913       X         28-5284   10913
                                                         481,304     11,131       X      X  28-5284    7793      3338
                                                          11,242        260       X         28-4580     260
UNOVA INC                 COM            91529B106        12,645        500       X         28-5284     500
                                                          30,348      1,200       X      X  28-5284    1200
UNUMPROVIDENT CORP        COM            91529Y106       306,774     17,100       X         28-5284   14300              2800
                                                         207,673     11,576       X      X  28-5284    5100      6476
UPM KYMMENE CORP          SPONSORED ADR  915436109         1,741         78       X         28-5284      78
URBAN OUTFITTERS INC      COM            917047102       133,200      3,000       X         28-5284    3000
                                                         657,120     14,800       X      X  28-5284   14800
URSTADT BIDDLE PPTYS
   INS                    COM            917286106         8,075        500       X         28-5284     500
                                                           3,230        200       X      X  28-5284     200
URSTADT BIDDLE PPTYS
   INS                    CL A           917286205        49,445      2,900       X         28-5284    2900
                                                           3,410        200       X      X  28-5284     200
UTSTARCOM INC             COM            918076100        42,085      1,900       X         28-5284    1900
                                                          29,238      1,320       X      X  28-5284     320      1000
                                                         221,500     10,000       X      X  28-1500   10000
                                                         531,600     24,000       X                   24000
VA SOFTWARE CORP          COM            91819B105           750        300       X      X  28-1500     300
VCA ANTECH INC            COM            918194101        85,976      4,400       X         28-5284    4400
V F CORP                  COM            918204108       929,166     16,778       X         28-5284   16678       100
                                                    1189,148,324 21,472,523       X      X  28-5284   38700  21433823
                                                      26,898,343    485,705       X      X  28-4580            485705
VSE CORP                  COM            918284100        25,170      1,000       X      X  28-5284    1000
VALHI INC NEW             COM            918905100         5,937        369       X         28-5284     369
                                                              97          6       X      X  28-5284                 6
VALEANT
   PHARMACEUTICALS
   INTL                   COM            91911X104        10,540        400       X         28-5284     400
0        COLUMN TOTAL                              1,220,479,386
0
0
0




1                                                               FILE NO. 28-1235
PAGE 172 OF 183                                                   AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- ------- --------- -------
                                                                                       
VALERO L P                COM UT LTD PRT 91913W104      77,259     1,300       X         28-5284    1300
                                                       212,462     3,575       X      X  28-5284    2575      1000
VALERO ENERGY CORP NEW    COM            91913Y100   1,019,412    22,454       X         28-5284   22454
                                                       409,281     9,015       X      X  28-5284    9015
                                                        91,708     2,020       X      X  28-1500    2020
VALLEY NATL BANCORP       COM            919794107      92,959     3,362       X         28-5284    3362
                                                       158,296     5,725       X      X  28-5284    5725
VALSPAR CORP              COM            920355104      91,268     1,825       X         28-5284     125             1700
VALUECLICK INC            COM            92046N102      13,330     1,000       X      X  28-5284    1000
VAN KAMPEN MUN INCOME TR  COM            920909108     128,603    14,226       X         28-5284   14226
VAN KAMPEN MUN TR         SH BEN INT     920919107      97,563     6,646       X         28-5284    6646
                                                         4,404       300       X      X  28-5284     300
                                                        41,280     2,812       X         28-4580    2812
VAN KAMPEN OHIO QUALITY
   MUN                    COM            920923109      40,500     2,500       X         28-5284    2500
VAN KAMPEN PA QUALITY MUN
   TR                     COM            920924107     465,032    31,085       X         28-5284   31085
                                                       493,635    32,997       X      X  28-5284    6200     26797
VAN KAMPEN TR INSD MUNS   COM            920928108      65,610     4,500       X         28-5284    4500
VAN KAMPEN TR INVT GRADE
   N J                    COM            920933108      77,362     4,638       X         28-5284    4638
                                                        20,516     1,230       X      X  28-5284    1230
VAN KAMPEN TR INVT GRADE
   PA                     COM            920934106     334,332    22,200       X         28-5284   22200
                                                       235,960    15,668       X      X  28-5284   14668      1000
                                                        50,195     3,333       X         28-4580    3333
VAN KAMPEN MUN
   OPPORTUNITY T          COM            920935103      16,126     1,100       X      X  28-5284    1100
VAN KAMPEN ADVANTAGE PA
   MUN                    SH BEN INT     920937109      17,904     1,200       X         28-5284    1200
VAN KAMPEN STRATEGIC
   SECTOR                 COM            920943107      12,693     1,005       X         28-5284    1005
VAN KAMPEN MUN
   OPPORTUNITY I          COM            920944105      74,250     5,400       X         28-5284    5400
0            COLUMN TOTAL                           4,341,940
0
0
0




1                                                               FILE NO. 28-1235
PAGE 173 OF 183                                                   AS OF 12/31/04

     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 BD FD          COM            920955101      23,692    1,331        X         28-5284    1331
                                                        14,240      800        X      X  28-5284     800
VAN KAMPEN SENIOR INCOME
   TR                     COM            920961109       8,420    1,000        X         28-5284    1000
VAN KAMPEN SELECT SECTOR
   MUN                    COM            92112M103      50,040    4,000        X         28-5284    4000
VAN KAMPEN MASS VALUE MUN
   IN                     COM SH BEN INT 92112R102      17,890    1,000        X      X  28-5284             1000
VAN KAMPEN PA VALUE MUN
   INCO                   COM            92112T108      59,984    3,735        X         28-5284    3735
VAN KAMPEN ADVANTAGE MUN
   INC                    SH BEN INT     921124103      86,395    5,946        X         28-5284    5946
VAN KAMPEN VALUE MUN
   INCOME                 COM            921132106      84,821    6,142        X         28-5284    6142
                                                        17,953    1,300        X      X  28-5284             1300
                                                        55,240    4,000        X      X  28-1500    4000
VANGUARD SECTOR INDEX FDS UTILS VIPERS   92204A876      29,280      500        X      X  28-4580     500
VARCO INTL INC DEL        COM            922122106      41,539    1,425        X         28-5284                     1425
VARIAN MED SYS INC        COM            92220P105  24,679,533  570,757        X         28-5284  551952     2310   16495
                                                     7,812,084  180,668        X      X  28-5284  131144    40810    8714
                                                        46,267    1,070        X      X  28-1500    1070
                                                       199,163    4,606        X         28-4580    4606
                                                        95,128    2,200        X      X  28-4580    1800      400
VARIAN INC                COM            922206107       3,281       80        X         28-5284      80
                                                         8,202      200        X      X  28-5284              200
VARIAN SEMICONDUCTOR
   EQUIPMN                COM            922207105       7,370      200        X      X  28-5284              200
VASCULAR SOLUTIONS INC    COM            92231M109      15,030    1,500        X      X  28-5284                     1500
VASOGEN INC               COM            92232F103      71,120   14,000        X         28-5284   14000
VASOMEDICAL INC           COM            922321104         930    1,000        X         28-5284    1000
                                                           465      500        X      X  28-5284     500
VECTREN CORP              COM            92240G101     354,135   13,214        X         28-5284   10814      400    2000
                                                       281,695   10,511        X      X  28-5284    8035     2476
                                                       120,600    4,500        X      X  28-1500    4500
0            COLUMN TOTAL                           34,184,497
0
0
0




1                                                               FILE NO. 28-1235
PAGE 174 OF 183                                                   AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- ------- --------- -------
                                                                                      
VECTOR GROUP LTD          COM            92240M108      11,009       662       X         28-5284     662
VEECO INSTRS INC DEL      COM            922417100       4,214       200       X         28-5284     200
VELCRO INDS N V           COM            922571104         464        35       X         28-5284      35
VENTAS INC                COM            92276F100     461,091    16,822       X         28-5284   12471              4351
                                                       186,086     6,789       X      X  28-5284    6789
VANGUARD INDEX TR         EXT MKT VIPERS 922908652      66,256       800       X      X  28-5284     800
VANGUARD INDEX TR         GROWTH VIPERS  922908736       5,140       100       X      X  28-4580     100
VANGUARD INDEX TR         STK MRK VIPERS 922908769  11,267,873    95,450       X         28-5284   91480      3622     348
                                                     1,580,217    13,386       X      X  28-5284    1694     11692
VERITY INC                COM            92343C106      13,120     1,000       X      X  28-5284    1000
VERISIGN INC              COM            92343E102      13,440       400       X         28-5284     400
                                                       163,800     4,875       X      X  28-5284    2075      2800
VERITAS DGC INC           COM            92343P107       5,042       225       X      X  28-5284     225
VERIZON COMMUNICATIONS    COM            92343V104  96,226,725 2,375,382       X         28-5284 2232409     75995   66978
                                                   133,437,671 3,293,944       X      X  28-5284 1758508   1128139  407297
                                                       470,726    11,620       X         28-1500     133     11487
                                                     1,712,479    42,273       X         28-4580   41629               644
                                                     2,186,487    53,974       X      X  28-4580   50363      2652     959
                                                     1,178,841    29,100       X                   29100
VERITAS SOFTWARE CO       COM            923436109   7,025,241   246,068       X         28-5284  233680      3600    8788
                                                     2,266,927    79,402       X      X  28-5284   40064     36973    2365
                                                       138,753     4,860       X         28-4580    4860
                                                        93,701     3,282       X      X  28-4580    2642       640
VERMONT TEDDY BEAR INC    COM            92427X109       6,400     1,000       X         28-5284    1000
VERTEX PHARMACEUTICALS
   INC                    COM            92532F100         328        31       X      X  28-5284      31
VESTAUR SECURITIES FUND   COM            925464109       4,137       300       X      X  28-5284               300
VIAD CORP                 COM NEW        92552R406      33,818     1,187       X         28-5284    1187
                                                           342        12       X      X  28-5284      12
                                                         1,425        50       X      X  28-4580      50
0            COLUMN TOTAL                          258,561,753
0
0
0




1                                                               FILE NO. 28-1235
PAGE 175 OF 183                                                   AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- ------- --------- -------
                                                                                       
VIASAT INC                COM            92552V100      33,444     1,378       X         28-1500    1378
VIACOM INC                CL A           925524100     960,594    25,906       X         28-5284   22505      2000    1401
                                                       252,515     6,810       X      X  28-5284    5175       610    1025
                                                       111,240     3,000       X      X  28-1500    3000
VIACOM INC                CL B           925524308  31,206,463   857,556       X         28-5284  754628     13652   89276
                                                    15,298,902   420,415       X      X  28-5284  295216    107427   17772
                                                       588,317    16,167       X         28-1500   16167
                                                       263,318     7,236       X      X  28-1500    7236
                                                       331,367     9,106       X         28-4580    9106
                                                       668,011    18,357       X      X  28-4580   15146      2987     224
                                                       138,282     3,800       X                    3800
VIASYS HEALTHCARE INC     COM NEW        92553Q209       3,876       204       X         28-5284                       204
VICAL INC                 COM            925602104      14,570     3,100       X      X  28-1500    3100
VICOR CORP                COM            925815102      18,354     1,400       X         28-5284    1400
VIISAGE TECHNOLOGY INC    COM            92675K106      45,050     5,000       X         28-5284    5000
VINA CONCHA Y TORO S A    SPONSORED ADR  927191106      17,950       250       X      X  28-5284     250
VINTAGE PETE INC          COM            927460105      90,760     4,000       X      X  28-5284    4000
VION PHARMACEUTICALS INC  COM            927624106       4,690     1,000       X         28-5284    1000
VIRAGEN INC               COM NEW        927638403         150       150       X         28-5284     150
VIROPHARMA INC            COM            928241108       1,056       325       X         28-5284     325
VISHAY INTERTECHNOLOGY
   INC                    COM            928298108     283,427    18,870       X         28-5284   18870
                                                        79,621     5,301       X      X  28-5284    5301
VISTEON CORP              COM            92839U107      33,511     3,430       X         28-5284    3207               223
                                                        11,607     1,188       X      X  28-5284     672       467      49
                                                         1,680       172       X         28-4580     172
VISUAL DATA CORP          COM PAR $.0001 928428309       8,964     5,152       X         28-5284    5152
VISX INC DEL              COM            92844S105       9,003       348       X         28-5284     348
                                                         7,761       300       X      X  28-5284     300
0            COLUMN TOTAL                           50,484,483
0
0
0




1                                                               FILE NO. 28-1235
PAGE 176 OF 183                                                   AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- ------- --------- -------
                                                                                       
VISUAL NETWORKS INC       COM            928444108       4,858     1,396       X      X  28-5284    1396
VITESSE SEMICONDUCTOR
   CORP                   COM            928497106      38,971    11,040       X         28-5284   11040
                                                       228,744    64,800       X      X  28-5284    4800             60000
                                                         1,236       350       X      X  28-1500     350
                                                       190,620    54,000       X      X  28-4580   54000
VIVENDI UNIVERSAL         SPON ADR NEW   92851S204      32,583     1,016       X         28-5284    1016
                                                         6,735       210       X      X  28-1500     210
VODAFONE GROUP PLC NEW    SPONSORED ADR  92857W100   4,711,879   172,092       X         28-5284  148515      9435   14142
                                                     5,018,234   183,281       X      X  28-5284  115658     55140   12483
                                                        71,736     2,620       X         28-1500              2620
                                                        92,681     3,385       X         28-4580    3385
                                                        57,635     2,105       X      X  28-4580    2105
VOLVO AKTIEBOLAGET        ADR B          928856400       4,949       125       X         28-5284     125
VORNADO RLTY TR           SH BEN INT     929042109     205,551     2,700       X         28-5284    2700
                                                       302,845     3,978       X      X  28-5284    2828      1000     150
                                                        62,807       825       X      X  28-1500     825
VULCAN INTL CORP          COM            929136109   1,083,413    22,978       X         28-5284   22978
                                                       895,850    19,000       X      X  28-1500   19000
VULCAN MATLS CO           COM            929160109   2,861,728    52,403       X         28-5284    9150             43253
                                                       107,582     1,970       X      X  28-5284    1970
WFS FINL INC              COM            92923B106     101,120     2,000       X      X  28-5284              2000
WCI CMNTYS INC            COM            92923C104       5,880       200       X         28-5284     200
WD-40 CO                  COM            929236107      16,336       575       X         28-5284     575
WGL HLDGS INC             COM            92924F106      74,633     2,420       X         28-5284    2420
                                                        63,900     2,072       X      X  28-5284    2072
W HLDG CO INC             COM            929251106      22,940     1,000       X      X  28-1500    1000
WMS INDS INC              COM            929297109       2,683        80       X         28-5284      80
W P CAREY & CO LLC        COM            92930Y107   1,351,902    38,450       X         28-5284   28450     10000
                                                       891,728    25,362       X      X  28-5284   10762     14600
0            COLUMN TOTAL                           18,511,759
0
0
0




1                                                               FILE NO. 28-1235
PAGE 177 OF 183                                                   AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- ------- --------- -------
                                                                                      
WPP GROUP PLC             SPON ADR NEW   929309300       8,201       150       X      X  28-5284               150
WPS RESOURCES CORP        COM            92931B106     396,483     7,936       X         28-5284    7936
                                                       618,255    12,375       X      X  28-5284    1675       700   10000
                                                        99,920     2,000       X      X  28-4580    2000
WSFS FINL CORP            COM            929328102      15,540       259       X         28-4580     259
WVS FINL CORP             COM            929358109      33,500     2,000       X         28-5284    2000
WABTEC CORP               COM            929740108   2,956,018   138,650       X         28-5284  132000              6650
                                                     3,653,075   171,345       X      X  28-5284    1200            170145
                                                     7,875,651   369,402       X      X  28-4580  369402
WACHOVIA CORP 2ND NEW     COM            929903102  40,391,382   767,897       X         28-5284  711656     22906   33335
                                                    49,766,806   946,137       X      X  28-5284  456279    408467   81391
                                                    12,696,430   241,377       X         28-1500  239077      2300
                                                     1,533,711    29,158       X         28-4580   29158
                                                     1,833,636    34,860       X      X  28-4580   34860
WADDELL & REED FINL INC   CL A           930059100      43,002     1,800       X         28-5284    1800
WAL MART STORES INC       COM            931142103 136,500,243 2,584,253       X         28-5284 2396028     44090  144135
                                                   129,557,741 2,452,816       X      X  28-5284 1960522    356881  135413
                                                       581,443    11,008       X         28-1500             11008
                                                     2,653,149    50,230       X         28-4580   49388               842
                                                     1,410,875    26,711       X      X  28-4580   22836      2575    1300
WALGREEN CO               COM            931422109  67,511,324 1,759,482       X         28-5284 1187605      1750  570127
                                                    37,438,300   975,718       X      X  28-5284  910784     48659   16275
                                                     2,572,056    67,033       X         28-1500   29595     37438
                                                       155,399     4,050       X         28-4580    4050
                                                       575,550    15,000       X      X  28-4580   15000
WARNACO GROUP INC         COM NEW        934390402      37,778     1,749       X         28-5284    1749
WASHINGTON BKG CO OAK HBR
   WA                     COM            937303105   1,176,120    64,800       X         28-1500   64800
WASHINGTON FED INC        COM            938824109      83,283     3,138       X         28-5284    3138
0            COLUMN TOTAL                          502,174,871
0
0
0




1                                                               FILE NO. 28-1235
PAGE 178 OF 183                                                   AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- ------- --------- -------
                                                                                      
WASHINGTON MUT INC        COM            939322103  75,254,468 1,779,907       X         28-5284 1538798     16585  224524
                                                    16,870,312   399,014       X      X  28-5284  251672     96002   51340
                                                     3,847,184    90,993       X         28-1500   77987     13006
                                                        53,907     1,275       X         28-4580    1275
                                                       233,808     5,530       X      X  28-4580    5530
WASHINGTON POST CO        CL B           939640108     382,395       389       X         28-5284     389
                                                       638,963       650       X      X  28-5284     650
                                                        18,677        19       X      X  28-4580       2                17
WASHINGTON REAL ESTATE
   INVT                   SH BEN INT     939653101       3,387       100       X         28-5284     100
                                                        79,933     2,360       X      X  28-5284     360      2000
                                                        84,675     2,500       X      X  28-4580    2500
WASHINGTON SVGBK FSB
   WALDRF                 COM            939696100      39,700     2,500       X      X  28-5284    2500
WASHINGTON TR BANCORP     COM            940610108     120,024     4,095       X      X  28-5284    4095
WASHTENAW GROUP INC       COM            941022105       4,530     3,000       X         28-5284                      3000
WASTE MGMT INC DEL        COM            94106L109   1,122,061    37,477       X         28-5284   36477              1000
                                                       674,638    22,533       X      X  28-5284   12625      5208    4700
                                                        22,395       748       X      X  28-1500     748
                                                        29,940     1,000       X      X  28-4580    1000
WASTE SERVICES INC DEL    COM            941075103       9,125     2,500       X         28-5284    2500
WATER PIK TECHNOLOGIES
   INC                    COM            94113U100       7,092       400       X         28-5284     400
WATERS CORP               COM            941848103  43,463,746   928,911       X         28-5284  683331            245580
                                                     6,646,520   142,050       X      X  28-5284  140050              2000
                                                     5,305,191   113,383       X         28-1500  113383
                                                       451,991     9,660       X      X  28-1500    9660
WATSCO INC                COM            942622200       2,289        65       X         28-5284      65
WATSON PHARMACEUTICALS
   INC                    COM            942683103   1,000,607    30,497       X         28-5284   30497
                                                        98,430     3,000       X      X  28-5284    3000
WATTS WATER TECHNOLOGIES
   INC                    CL A           942749102      32,240     1,000       X      X  28-5284    1000
WAVE SYSTEMS CORP         CL A           943526103       8,008     7,000       X         28-5284    7000
0            COLUMN TOTAL                          156,506,236
0
0
0




1                                                               FILE NO. 28-1235
PAGE 179 OF 183                                                   AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- ------- --------- -------
                                                                                       
WAYPOINT FINL CORP        COM            946756103      29,909     1,055       X         28-5284    1055
                                                        28,747     1,014       X      X  28-5284     402               612
WEBEX COMMUNICATIONS INC  COM            94767L109       2,378       100       X      X  28-5284     100
WEBMD CORP                COM            94769M105      13,415     1,644       X         28-5284    1644
WEBSTER FINL CORP CONN    COM            947890109      10,128       200       X         28-5284     200
WEIGHT WATCHERS INTL INC
   NEW                    COM            948626106       4,107       100       X         28-5284     100
WEINGARTEN RLTY INVS      SH BEN INT     948741103     200,821     5,008       X         28-5284    5008
                                                       578,683    14,431       X      X  28-5284    5750      6800    1881
                                                        36,090       900       X      X  28-1500     900
WEIS MKTS INC             COM            948849104      25,071       650       X         28-5284     400       250
WELLPOINT INC             COM            94973V107  12,586,405   109,447       X         28-5284  105293       280    3874
                                                     2,451,225    21,315       X      X  28-5284   11721      4154    5440
                                                        91,080       792       X         28-1500               792
                                                       528,540     4,596       X         28-4580    4424               172
                                                        58,420       508       X      X  28-4580     508
WELLS FARGO & CO NEW      COM            949746101 124,844,931 2,008,768       X         28-5284 1959188     17700   31880
                                                   226,536,315 3,644,993       X      X  28-5284 3302732    254748   87513
                                                       190,490     3,065       X         28-1500              3065
                                                     1,447,598    23,292       X         28-4580   23292
                                                       979,360    15,758       X      X  28-4580   13498      2260
WENDYS INTL INC           COM            950590109      70,472     1,795       X         28-5284    1795
                                                        29,445       750       X      X  28-5284     750
WERNER ENTERPRISES INC    COM            950755108      56,600     2,500       X         28-5284    2500
WESBANCO INC              COM            950810101   2,923,113    91,433       X         28-5284   91433
                                                       659,221    20,620       X      X  28-5284   20620
WESCO INTL INC            COM            95082P105      11,856       400       X         28-5284     400
WESTAR ENERGY INC         COM            95709T100      21,269       930       X         28-5284     930
                                                        54,591     2,387       X      X  28-5284    2387
WESTERN ASSET CLAYMORE
   US TR                  COM SH BEN INT 95766Q106      39,930     3,000       X      X  28-5284                      3000
0            COLUMN TOTAL                          374,510,210
0
0
0




1                                                               FILE NO. 28-1235
PAGE 180 OF 183                                                   AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- ------- --------- -------
                                                                                        
WSTRN ASSET/CLYMRE US
   TR INF                 COM            95766R104      25,640     2,000       X      X  28-5284                      2000
WESTERN DIGITAL CORP      COM            958102105       2,710       250       X         28-5284     250
WESTERN GAS RES INC       COM            958259103     147,069     5,028       X         28-5284    5028
WESTERN WIRELESS CORP     CL A           95988E204       7,325       250       X         28-5284     250
                                                       125,990     4,300       X      X  28-5284              4300
WESTPAC BKG CORP          SPONSORED ADR  961214301      25,840       340       X         28-5284     340
WEYERHAEUSER CO           COM            962166104   1,429,904    21,272       X         28-5284   20922       350
                                                     2,391,150    35,572       X      X  28-5284   27285      4057    4230
WHIRLPOOL CORP            COM            963320106     143,888     2,079       X         28-5284    2079
                                                       117,657     1,700       X      X  28-5284    1700
WHITING PETE CORP NEW     COM            966387102      96,800     3,200       X      X  28-5284    3200
WHITNEY HLDG CORP         COM            966612103      13,497       300       X         28-5284     300
WHOLE FOODS MKT INC       COM            966837106     130,630     1,370       X         28-5284    1370
                                                       166,386     1,745       X      X  28-5284    1470               275
WILEY JOHN & SONS INC     CL A           968223206      20,904       600       X         28-5284     600
WILLBROS GROUP INC        COM            969199108      25,655     1,113       X      X  28-1500    1113
WILLIAMS COAL SEAM GAS
   RTY T                  TR UNIT        969450105       3,833       240       X      X  28-5284               240
WILLIAMS COS INC DEL      COM            969457100     288,235    17,694       X         28-5284   17694
                                                       272,043    16,700       X      X  28-5284     700     16000
WILLIAMS SONOMA INC       COM            969904101      35,040     1,000       X         28-5284    1000
                                                        10,512       300       X      X  28-5284     300
WILMINGTON TRUST CORP     COM            971807102   2,870,274    79,399       X         28-5284   79049       150     200
                                                       959,783    26,550       X      X  28-5284   19850      5100    1600
                                                     1,426,009    39,447       X         28-4580   39447
                                                     4,033,183   111,568       X      X  28-4580  103468      5700    2400
WIND RIVER SYSTEMS INC    COM            973149107     117,885     8,700       X         28-5284    8700
0            COLUMN TOTAL                           14,887,842
0
0
0




1                                                               FILE NO. 28-1235
PAGE 181 OF 183                                                   AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- ------- --------- -------
                                                                                     
WINDROSE MED PPTYS TR     COM            973491103      14,295       992       X      X  28-1500     992
WINN DIXIE STORES INC     COM            974280109      61,179    13,446       X         28-5284   13446
WINNEBAGO INDS INC        COM            974637100       1,562        40       X         28-5284      40
WINTON FINL CORP          COM            976446104       4,510       200       X         28-5284     200
WINTRUST FINANCIAL CORP   COM            97650W108       1,481        26       X         28-5284                        26
WIPRO LTD                 SPON ADR 1 SH  97651M109     246,500    10,000       X      X  28-5284   10000
WIRELESS FACILITIES INC   COM            97653A103       4,720       500       X         28-5284     500
                                                       265,623    28,138       X         28-1500   28138
WISCONSIN ENERGY CORP     COM            976657106     313,840     9,310       X         28-5284    9310
                                                       245,914     7,295       X      X  28-5284    4500      2795
                                                        15,170       450       X      X  28-1500     450
WOLVERINE TUBE INC        COM            978093102      25,820     2,000       X         28-5284                      2000
WORLD FUEL SVCS CORP      COM            981475106     174,300     3,500       X      X  28-5284    3500
WORLD WRESTLING ENTMT INC CL A           98156Q108         970        80       X      X  28-5284      80
WORTHINGTON INDS INC      COM            981811102     399,432    20,400       X         28-5284   20400
                                                        82,236     4,200       X      X  28-5284     600      3600
WRIGLEY WM JR CO          COM            982526105  22,514,218   325,397       X         28-5284  291395      6961   27041
                                                     5,752,249    83,137       X      X  28-5284   57173     23149    2815
                                                        66,838       966       X      X  28-1500     966
                                                       741,509    10,717       X         28-4580   10249               468
                                                       595,242     8,603       X      X  28-4580    8434               169
WYETH                     COM            983024100 116,439,612 2,733,966       X         28-5284 2408079     71539  254348
                                                   103,272,488 2,424,806       X      X  28-5284 1483522    674723  266561
                                                     2,645,435    62,114       X         28-1500   57298      4816
                                                     3,256,091    76,452       X         28-4580   76452
                                                     4,434,769   104,127       X      X  28-4580   89267     11800    3060
WYNDHAM INTL INC          CL A           983101106   1,913,707 1,608,157       X         28-5284    4000           1604157
WYNN RESORTS LTD          COM            983134107       2,744        41       X      X  28-4580       4                37
0            COLUMN TOTAL                          263,492,454
0
0
0




1                                                               FILE NO. 28-1235
PAGE 182 OF 183                                                   AS OF 12/31/04

     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
------------------------- -------------- --------- ----------- --------- ------- ------ -------- ------- --------- -------
                                                                                       
XM SATELLITE RADIO HLDGS
  INC                     CL A           983759101     392,941    10,445       X         28-5284   10205               240
                                                        53,797     1,430       X      X  28-5284    1430
                                                       244,530     6,500       X      X  28-1500    6500
                                                        75,240     2,000       X         28-4580    2000
XTO ENERGY INC            COM            98385X106      81,056     2,291       X         28-5284    2291
                                                     1,438,197    40,650       X      X  28-5284   40375       275
XCEL ENERGY INC           COM            98389B100     327,491    17,994       X         28-5284   17026       300     668
                                                       692,765    38,064       X      X  28-5284    9486     28578
                                                         9,100       500       X         28-1500               500
                                                        94,713     5,204       X      X  28-4580    5204
XILINX INC                COM            983919101     636,422    21,450       X         28-5284    3150             18300
                                                       167,932     5,660       X      X  28-5284    2510              3150
                                                         5,934       200       X      X  28-1500     200
XEROX CORP                COM            984121103     271,854    15,982       X         28-5284   15582               400
                                                       221,963    13,049       X      X  28-5284    4744      2450    5855
                                                         7,059       415       X         28-4580     415
                                                        68,074     4,002       X      X  28-4580    4002
XYBERNAUT CORP            COM            984149104      49,200    40,000       X         28-5284   40000
YADKIN VY BK&TR CO ELKIN
  N C                     COM            984308106     245,323    16,700       X         28-5284   16700
YAHOO INC                 COM            984332106     619,685    16,446       X         28-5284   13686              2760
                                                       815,094    21,632       X      X  28-5284   11132     10500
                                                         3,768       100       X      X  28-1500     100
                                                         3,014        80       X      X  28-4580      80
YANKEE CANDLE INC         COM            984757104     696,780    21,000       X      X  28-5284   21000
                                                         6,636       200       X      X  28-1500     200
YELLOW ROADWAY CORP       COM            985577105     138,328     2,483       X         28-5284    2483
YORK WTR CO               COM            987184108       9,700       500       X         28-5284     500
YUM BRANDS INC            COM            988498101   5,645,936   119,668       X         28-5284  115959       130    3579
                                                     2,794,377    59,228       X      X  28-5284   27288     13410   18530
                                                        47,652     1,010       X         28-4580    1010
                                                        14,343       304       X      X  28-4580     304
0            COLUMN TOTAL                           15,878,904
0
0
0




1                                                               FILE NO. 28-1235
PAGE 183 OF 183                                                   AS OF 12/31/04

     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
------------------------- -------------- --------- -------------- --------- ------- ------ -------- ------- --------- -------
                                                                                          
ZEBRA TECHNOLOGIES
  CORP                    CL A           989207105          4,784        85       X         28-5284      85
                                                           12,663       225       X      X  28-5284     225
                                                           34,162       607       X      X  28-1500     607
ZENITH NATL INS CORP      COM            989390109        249,200     5,000       X      X  28-5284    5000
ZIMMER HLDGS INC          COM            98956P102     57,553,561   718,342       X         28-5284  670281      4005   44056
                                                       21,280,112   265,603       X      X  28-5284  149959     74183   41461
                                                          138,287     1,726       X         28-1500              1726
                                                          308,462     3,850       X         28-4580    3850
                                                        1,312,526    16,382       X      X  28-4580   11281      5101
ZIONS BANCORPORATION      COM            989701107        117,692     1,730       X         28-5284    1730
                                                          203,410     2,990       X      X  28-5284              2990
ZORAN CORP                COM            98975F101        103,305     8,921       X         28-1500    8921
ZOOM TECHNOLOGIES INC
  DEL                     COM            98976E103          1,348       400       X      X  28-5284     400
ZWEIG FD                  COM            989834106          8,958     1,614       X         28-5284    1614
ZWEIG TOTAL RETURN FD
  INC                     COM            989837109          4,847       906       X         28-5284     906
ZOLL MED CORP             COM            989922109         58,480     1,700       X         28-5284    1700
0            COLUMN TOTAL                              81,391,797
0             GRAND TOTAL                          25,104,385,818
0
0




1
PAGE 1 OF 1                                                       AS OF 12/31/04

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



0
0
      ENTITY TOTALS                    FAIR MARKET          ENTITY                UNITS
----------------------               --------------        --------            -----------
                                                                      
                                     23,606,068,352         28-5284            520,857,514
                                        417,350,438         28-1500             12,652,047
                                        596,748,035         28-4580             13,286,890
                                        484,218,993                              8,133,147
0         GRAND TOTALS               25,104,385,818                            554,929,598
0     NUMBER OF ISSUES                        2,673