================================================================================ UNITED STATES SECURITIES AND EXCHANGE COMMISSION Washington, D.C. 20549 Form 13F Form 13F COVER PAGE Report for the Calendar Year or Quarter Ended: March 31, 2006 Check here if Amendment [______]; Amendment Number: This Amendment (Check only one.): [_] is a restatement. [_] adds new holdings entries. Institutional Investment Manager Filing this Report: Name: The PNC Financial Services Group, Inc. Address: 249 Fifth Avenue Pittsburgh, PA 15222-2707 Form 13F File Number: 28-1235 The institutional investment manager filing this report and the person by whom it is signed hereby represent that the person signing the report is authorized to submit it, that all information contained herein is true, correct and complete, and that it is understood that all required items, statements, schedules, lists, and tables, are considered integral parts of this form. Person Signing the Report on behalf of Reporting Manager: Name: Joan L. Gulley Title: Vice President Phone: (412) 768-8416 Signature, Place, and Date of Signing: /s/ Joan L. Gulley Pittsburgh, PA May 5, 2006 ------------------------ ------------------------ ----------------------- [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:..... 5 Form 13F Information Table Entry Total: 2,713 Form 13F Information Table Value Total: $24,467,393 (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 5 28-11439 PNC Equity Securities, LLC FILE NO. 28-1235 PAGE 1 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 2: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: TITLE OF CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------- --------- ---------- --------- ------- ------ -------- ------- --------- ------- DAIMLERCHRYSLER AG ORD D1668R123 342,910 5,973 X 28-5284 5331 642 374,830 6,529 X X 28-5284 5909 620 88,986 1,550 X X 28-4580 1550 DEUTSCHE BANK AG NAMEN ORD D18190898 125,778 1,101 X 28-5284 101 1000 ACE LTD ORD G0070K103 459,196 8,829 X 28-5284 8829 455,088 8,750 X X 28-5284 8600 150 182,035 3,500 X X 28-1500 3500 AMDOCS LTD ORD G02602103 6,130 170 X 28-5284 170 ASSURED GUARANTY LTD COM G0585R106 337,500 13,500 X 28-5284 13500 AXIS CAPITAL HOLDINGS SHS G0692U109 50,830 1,700 X X 28-5284 1700 ACCENTURE LTD BERMUDA CL A G1150G111 6,014 200 X 28-5284 200 1,102,066 36,650 X X 28-5284 36650 BUNGE LIMITED COM G16962105 83,565 1,500 X 28-5284 1500 16,713 300 X X 28-5284 300 COOPER INDS LTD CL A G24182100 165,892 1,909 X 28-5284 1909 536,868 6,178 X X 28-5284 6169 9 86,900 1,000 X X 28-4580 1000 ASA BERMUDA LIMITED COM G3156P103 3,258,060 50,124 X X 28-5284 50124 EVEREST RE GROUP LTD COM G3223R108 108,029 1,157 X X 28-5284 1150 7 FOSTER WHEELER SHS LTD NEW G36535139 127,737 2,700 X X 28-5284 2700 FRESH DEL MONTE PRODUCE INC ORD G36738105 740 35 X 28-5284 35 FRONTLINE LTD SHS G3682E127 66,980 2,000 X 28-5284 2000 8,473 253 X X 28-5284 253 GARMIN LTD ORD G37260109 1,612,111 20,296 X 28-5284 20296 1,364,607 17,180 X X 28-5284 17180 GLOBALSANTAFE CORP SHS G3930E101 3,706,418 61,011 X 28-5284 59746 1265 1,724,085 28,380 X X 28-5284 26365 900 1115 13,973 230 X 28-4580 230 COLUMN TOTAL 16,412,514 FILE NO. 28-1235 PAGE 2 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 2: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: TITLE OF CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------- --------- ---------- --------- ------- ------ -------- ------- --------- ------- GLOBAL ORD G39300101 142,857 12,870 X 28-5284 12870 SOURCES LTD HELEN OF TROY COM G4388N106 4,240 200 X 28-5284 CORP LTD 200 INGERSOLL- CL A G4776G101 65,225,957 1,560,803 X 28-5284 1533008 RAND COMPANY LTD 27795 24,239,245 580,025 X X 28-5284 551007 6390 22628 50,148 1,200 X X 28-1500 1200 909,518 21,764 X 28-4580 21578 186 640,808 15,334 X X 28-4580 14062 1272 IPC HLDGS LTD ORD G4933P101 56,100 2,000 X 28-5284 2000 KNIGHTSBRIDGE ORD G5299G106 10,024 400 X X 28-5284 400 TANKERS LTD LAZARD LTD SHS A G54050102 1,385,025 31,300 X X 28-5284 31300 MARVELL ORD G5876H105 14,174 262 X 28-5284 262 TECHNOLOGY GROUP LTD 18,286 338 X X 28-5284 338 27,050 500 X X 28-1500 500 MONTPELIER RE SHS G62185106 78,240 4,800 X X 28-5284 4800 HOLDINGS LTD NABORS SHS G6359F103 232,062 3,242 X 28-5284 3242 INDUSTRIES LTD 1,352,862 18,900 X X 28-5284 17900 1000 6,872 96 X X 28-4580 23 73 NOBLE SHS G65422100 150,197 1,852 X 28-5284 1852 CORPORATION 8,110 100 X X 28-5284 100 14,193 175 X X 28-1500 175 NORDIC COM G65773106 20,202 700 X 28-5284 700 AMERICAN TANKER SHIPP 2,886 100 X X 28-5284 100 PARTNERRE LTD COM G6852T105 2,980 48 X X 28-5284 40 8 PEAK INTL LTD ORD G69586108 3,588 1,300 X 28-5284 1300 PLATINUM COM G7127P100 2,183 75 X 28-5284 75 UNDERWRITER HLDGS L PXRE GROUP COM G73018106 9,810 3,000 X 28-5284 3000 LTD 40,178 12,287 X X 28-5284 12287 RENAISSANCERE COM G7496G103 436 10 X X 28-5284 HOLDINGS LTD 10 COLUMN TOTAL 94,648,231 FILE NO. 28-1235 PAGE 3 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 2: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: TITLE OF CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------- --------- ---------- --------- ------- ------ -------- ------- --------- ------- SCOTTISH RE GROUP LTD ORD G7885T104 99,240 4,000 X 28-5284 2000 2000 148,860 6,000 X 28-11439 6000 SEAGATE TECHNOLOGY SHS G7945J104 14,639 556 X 28-5284 556 5,266 200 X X 28-5284 200 SHIP FINANCE INTERNATIONAL L SHS G81075106 1,716 100 X 28-5284 100 635 37 X X 28-5284 37 STEWART W P & CO LTD COM G84922106 210,758 9,998 X 28-5284 9998 UTI WORLDWIDE INC ORD G87210103 9,480 300 X X 28-5284 300 47,400 1,500 X X 28-1500 1500 TRANSOCEAN INC ORD G90078109 12,809,617 159,522 X 28-5284 158250 1272 5,050,709 62,898 X X 28-5284 56483 1090 5325 610,119 7,598 X 28-4580 7319 279 131,050 1,632 X X 28-4580 1481 151 WEATHERFORD INTERNATIONAL LT COM G95089101 66,932 1,463 X 28-5284 1463 58,743 1,284 X X 28-5284 1284 WHITE MTNS INS GROUP LTD COM G9618E107 23,780 40 X 28-5284 40 WILLIS GROUP HOLDINGS LTD SHS G96655108 2,409,335 70,325 X 28-5284 8600 61725 445,723 13,010 X X 28-5284 13010 XOMA LTD ORD G9825R107 19,465 8,500 X 28-5284 8500 229 100 X X 28-1500 100 XL CAP LTD CL A G98255105 44,877 700 X 28-5284 300 400 545,961 8,516 X X 28-5284 2216 6300 XYRATEX LTD COM G98268108 1,480,500 47,000 X X 28-5284 47000 ALCON INC COM SHS H01301102 15,192,559 145,718 X 28-5284 142487 3231 3,461,641 33,202 X X 28-5284 30046 1120 2036 365,431 3,505 X 28-4580 3445 60 43,789 420 X X 28-4580 420 UBS AG NAMEN AKT H8920M855 1,051,423 9,561 X 28-5284 9561 181,451 1,650 X X 28-5284 1050 600 COLUMN TOTAL 44,531,328 FILE NO. 28-1235 PAGE 4 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 2: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: TITLE OF CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------- --------- --------- --------- ------- ------ -------- ------- --------- ------- ALVARION LTD SHS M0861T100 18,000 2,000 X X 28-5284 2000 27,711 3,079 X 28-1500 3079 CHECK POINT SOFTWARE TECH LT ORD M22465104 428,528 21,405 X 28-5284 21405 356,416 17,803 X X 28-5284 17523 280 5,005 250 X 28-4580 250 61,782 3,086 X X 28-4580 3086 WILLI G FOOD INTL LTD ORD M52523103 54,000 10,000 X 28-11439 10000 POINTER TELOCATION LTD SHS M7946T104 21 3 X X 28-5284 3 RADVISION LTD ORD M81869105 2,678 150 X X 28-5284 150 CNH GLOBAL N V SHS NEW N20935206 2,578 100 X 28-5284 100 CORE LABORATORIES N V COM N22717107 1,322,366 27,810 X X 28-5284 27810 KERZNER INTERNATIONAL LTD SHS P6065Y107 46,692 600 X 28-5284 600 SINOVAC BIOTECH LTD SHS P8696W104 6,675 1,500 X 28-5284 1500 ROYAL CARIBBEAN CRUISES LTD COM V7780T103 16,808 400 X 28-5284 400 DRYSHIPS INC SHS Y2109Q101 12,696 1,200 X X 28-5284 1200 DOUBLE HULL TANKERS INC COM Y21110104 198,750 15,000 X X 28-5284 15000 EAGLE BULK SHIPPING INC COM Y2187A101 34,875 2,500 X 28-5284 2500 153,450 11,000 X X 28-5284 11000 FLEXTRONICS INTL LTD ORD Y2573F102 4,201,551 405,947 X 28-5284 405947 1,129,682 109,148 X X 28-5284 107948 1200 251,960 24,344 X X 28-1500 24344 19,199 1,855 X 28-4580 1855 4,658 450 X X 28-4580 450 GENERAL MARITIME CORP SHS Y2692M103 3,334 100 X 28-5284 100 12,669 380 X X 28-5284 380 3,334 100 X X 28-4580 100 OMI CORP NEW COM Y6476W104 5,406 300 X 28-5284 300 9,010 500 X X 28-1500 500 COLUMN TOTAL 8,389,834 FILE NO. 28-1235 PAGE 5 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 2: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: TITLE OF CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- --------- --------- --------- --------- ------- ------ -------- ------- --------- ------- SEASPAN CORP SHS Y75638109 63,510 3,000 X X 28-5284 3000 TEEKAY SHIPPING MARSHALL ISL COM Y8564W103 3,707 100 X 28-5284 100 334 9 X X 28-5284 9 ABB LTD SPONSORED ADR 375204 20,080 1,600 X 28-5284 1600 37,650 3,000 X X 28-5284 3000 ACCO BRANDS CORP COM 00081T108 492,884 22,202 X 28-5284 22007 195 625,840 28,191 X X 28-5284 27769 422 1,598 72 X 28-4580 72 3,730 168 X X 28-4580 168 A C MOORE ARTS & CRAFTS INC COM 00086T103 11,040 600 X X 28-5284 600 A D C TELECOMMUNICATIONS COM NEW 886309 2,150 84 X 28-5284 84 13,486 527 X X 28-5284 527 ACM INCOME FUND INC COM 912105 350,502 43,379 X 28-5284 43379 61,012 7,551 X X 28-5284 7551 ACM MANAGED INCOME FD INC COM 919100 1,771 509 X X 28-5284 509 ABN AMRO HLDG NV SPONSORED ADR 937102 11,952 400 X X 28-5284 400 ACM MUN SECS INCOME FD INC COM 942102 28,369 2,707 X X 28-5284 2707 ABM INDS INC COM 957100 15,719 820 X 28-5284 820 AEW REAL ESTATE INCOME FD COM 00104H107 17,468 884 X 28-5284 884 AFLAC INC COM 1055102 1,689,757 37,442 X 28-5284 30842 6600 1,715,030 38,002 X X 28-5284 38002 40,617 900 X 28-1500 900 AGCO CORP COM 1084102 1,991 96 X X 28-5284 96 AGL RES INC COM 1204106 30,823 855 X X 28-5284 75 780 43,260 1,200 X X 28-4580 1200 AES CORP COM 00130H105 318,630 18,677 X 28-5284 17829 848 61,962 3,632 X X 28-5284 3632 42,872 2,513 X X 28-1500 2513 COLUMN TOTAL 5,707,744 FILE NO. 28-1235 PAGE 6 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 2: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: TITLE OF CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------- --------- ----------- --------- ------- ------ -------- ------- --------- ------- AK STL HLDG CORP COM 001547108 45,000 3,000 X 28-5284 3000 1,005 67 X X 28-5284 67 3,735 249 X X 28-1500 249 AMB PROPERTY CORP COM 00163T109 5,590 103 X X 28-4580 21 82 AMR CORP COM 001765106 57,725 2,134 X 28-5284 2134 2,705 100 X X 28-5284 100 ATI TECHNOLOGIES INC COM 001941103 8,590 500 X 28-5284 500 A S V INC COM 001963107 109,548 3,400 X 28-5284 3400 AT&T INC COM 00206R102 46,991,816 1,737,863 X 28-5284 1697198 40665 33,016,164 1,221,012 X X 28-5284 1157212 16530 47270 551,643 20,401 X 28-1500 20401 1,033,496 38,221 X 28-4580 38221 1,640,192 60,658 X X 28-4580 59958 700 AVI BIOPHARMA INC COM 002346104 759 100 X X 28-5284 100 AVX CORP NEW COM 002444107 27,435 1,550 X X 28-5284 1550 AARON RENTS INC COM 002535201 6,793 250 X X 28-5284 250 ABAXIS INC COM 002567105 91,854 4,050 X X 28-5284 4050 ABBOTT LABS COM 002824100 81,217,377 1,912,347 X 28-5284 1832774 79573 88,479,322 2,083,337 X X 28-5284 2061305 9972 12060 530,790 12,498 X 28-1500 175 12323 1,168,010 27,502 X 28-4580 27502 2,336,699 55,020 X X 28-4580 55020 ABER DIAMOND CORP COM 002893105 20,235 500 X 28-5284 500 ABERCROMBIE & FITCH CO CL A 002896207 10,319 177 X 28-5284 177 70,543 1,210 X X 28-5284 1210 ABERDEEN ASIA PACIFIC INCOM COM 003009107 24,948 4,200 X 28-5284 4200 7,722 1,300 X X 28-5284 1300 ABERDEEN GLOBAL INCOME FD IN COM 003013109 12,490 1,000 X 28-5284 1000 COLUMN TOTAL 257,472,505 FILE NO. 28-1235 PAGE 7 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 2: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: TITLE OF CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------- --------- --------- --------- ------- ------ -------- ------- --------- ------- ABIOMED INC COM 003654100 230,910 17,900 X X 28-5284 17900 ABITIBI- CONSOLIDATED INC COM 003924107 5,681 1,369 X X 28-5284 1369 ACADIA PHARMACEUTICALS INC COM 004225108 67,116 4,200 X X 28-1500 4200 ACCREDITED HOME LENDRS HLDG COM 00437P107 768 15 X X 28-5284 15 ACETO CORP COM 004446100 1,850 251 X 28-1500 251 ACME UTD CORP COM 004816104 595,425 42,500 X X 28-5284 42500 ACTIVISION INC COM NEW NEW 004930202 690 50 X X 28-5284 50 1,379 100 X 28-1500 100 ACTIVE POWER INC COM 00504W100 25,389 5,088 X 28-5284 5088 ADAMS EXPRESS CO COM 006212104 55,235 4,153 X 28-5284 4153 56,073 4,216 X X 28-5284 4216 ADESA INC COM 00686U104 20,857 780 X 28-5284 780 69,524 2,600 X X 28-5284 2600 8,824 330 X 28-4580 330 ADMINISTAFF INC COM 007094105 5,436 100 X 28-5284 100 18,211 335 X X 28-5284 325 10 ADOBE SYS INC COM 00724F101 3,096,675 88,603 X 28-5284 84453 4150 813,356 23,272 X X 28-5284 21872 1400 ADVANCE AUTO PARTS INC COM 00751Y106 9,369 225 X 28-5284 225 ADVANTAGE ENERGY INCOME TR FD UNIT 00762L101 155,520 8,100 X 28-5284 8100 85,555 4,456 X X 28-5284 4456 ADVANCED MEDICAL OPTICS INC COM 00763M108 209,087 4,483 X 28-5284 4483 277,228 5,944 X X 28-5284 5944 5,177 111 X X 28-1500 111 15,671 336 X X 28-4580 336 ADVENT CLAYMORE CV SECS & IN COM 00764C109 8,353 332 X 28-5284 332 COLUMN TOTAL 5,839,359 FILE NO. 28-1235 PAGE 8 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: ITEM 2: CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------------- --------- ---------- --------- ------- ------ -------- ------- --------- ------- ADVANCED MICRO DEVICES INC COM 007903107 213,086 6,426 X 28-5284 6426 127,434 3,843 X X 28-5284 3643 200 3,033,643 91,485 X 28-11439 91485 AEGON N V ORD AMER REG 007924103 3,797,907 206,072 X 28-5284 196823 9249 3,687,143 200,062 X X 28-5284 192024 1001 7037 16,624 902 X 28-1500 902 ADVANTA CORP CL B 007942204 5,535,514 150,136 X 28-5284 150136 AES TR III PFD CV 6.75% 00808N202 69,990 1,500 X 28-5284 1500 37,328 800 X X 28-5284 800 AETNA INC NEW COM 00817Y108 520,884 10,600 X 28-5284 10300 300 3,150,660 64,116 X X 28-5284 64116 165,160 3,361 X X 28-1500 3361 AFFILIATED COMPUTER SERVICES CL A 008190100 29,830 500 X 28-5284 400 100 125,286 2,100 X X 28-5284 2100 AFFYMETRIX INC COM 00826T108 6,586 200 X 28-5284 200 AFFORDABLE RESIDENTIAL CMTYS COM 008273104 42,000 4,000 X 28-4580 4000 AGERE SYS INC COM 00845V308 5,986 398 X 28-5284 398 18,935 1,259 X X 28-5284 1259 120 8 X 28-4580 8 120 8 X X 28-4580 8 AGILENT TECHNOLOGIES INC COM 00846U101 2,252,512 59,987 X 28-5284 59239 748 3,602,697 95,944 X X 28-5284 91873 762 3309 24,070 641 X 28-4580 641 65,750 1,751 X X 28-4580 1751 AGNICO EAGLE MINES LTD COM 008474108 15,225 500 X 28-5284 500 30,450 1,000 X X 28-5284 1000 AGRIUM INC COM 008916108 2,526 100 X 28-5284 100 328 13 X X 28-5284 13 COLUMN TOTAL 26,577,794 FILE NO. 28-1235 PAGE 9 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: ITEM 2: CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------------- --------- ---------- --------- ------- ------ -------- ------- --------- ------- AIR PRODS & CHEMS INC COM 009158106 20,899,853 311,056 X 28-5284 309801 1255 15,127,022 225,138 X X 28-5284 218388 2850 3900 10,280 153 X X 28-1500 153 174,694 2,600 X 28-4580 2600 93,999 1,399 X X 28-4580 1353 46 AIRGAS INC COM 009363102 49,566 1,268 X 28-5284 1268 146,939 3,759 X X 28-5284 3759 AIRTRAN HLDGS INC COM 00949P108 10,685 590 X X 28-4580 590 AIRSPAN NETWORKS INC COM 00950H102 166,131 24,612 X X 28-5284 24612 AKAMAI TECHNOLOGIES INC COM 00971T101 36,837 1,120 X 28-5284 1120 1,351,286 41,085 X X 28-5284 41085 AKZO NOBEL NV SPONSORED ADR 010199305 84,400 1,600 X X 28-5284 1600 ALABAMA NATL BANCORP DELA COM 010317105 282,697 4,133 X 28-5284 3633 500 ALASKA AIR GROUP INC COM 011659109 3,545 100 X 28-5284 100 ALASKA COMMUNICATIONS SYS GR COM 01167P101 6,065 500 X X 28-5284 500 ALBEMARLE CORP COM 012653101 110,427 2,435 X 28-5284 2435 ALBERTO CULVER CO COM 013068101 35,384 800 X 28-5284 700 100 147,551 3,336 X X 28-5284 3336 ALBERTSONS INC COM 013104104 100,472 3,914 X 28-5284 3914 908,923 35,408 X X 28-5284 33008 2400 ALCAN INC COM 013716105 22,865 500 X 28-5284 500 54,922 1,201 X X 28-5284 1201 82,314 1,800 X X 28-1500 1800 ALCOA INC COM 013817101 13,933,832 455,950 X 28-5284 454250 1700 12,646,339 413,820 X X 28-5284 378685 5831 29304 3,056 100 X 28-1500 100 393,613 12,880 X 28-11439 12880 102,162 3,343 X 28-4580 3343 160,715 5,259 X X 28-4580 5259 COLUMN TOTAL 67,146,574 FILE NO. 28-1235 PAGE 10 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: ITEM 2: CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------------- --------- ----------- --------- ------- ------ -------- ------- --------- ------- ALCATEL SPONSORED ADR 013904305 4,081 265 X X 28-5284 265 5,020 326 X X 28-4580 326 ALEXANDER & BALDWIN INC COM 014482103 14,304 300 X 28-5284 300 631,760 13,250 X X 28-5284 12500 750 ALEXION PHARMACEUTICALS INC COM 015351109 7,084 200 X X 28-5284 200 ALIGN TECHNOLOGY INC COM 016255101 72,929 7,953 X 28-5284 7953 ALKERMES INC COM 01642T108 11,025 500 X 28-5284 500 ALLEGHANY CORP DEL COM 017175100 43,310,937 149,606 X X 28-5284 74998 74608 ALLEGHENY ENERGY INC COM 017361106 161,634 4,775 X 28-5284 4650 125 197,075 5,822 X X 28-5284 5322 500 3,385 100 X X 28-4580 100 ALLEGHENY TECHNOLOGIES INC COM 01741R102 720,333 11,774 X 28-5284 11774 215,843 3,528 X X 28-5284 3519 9 390,818 6,388 X X 28-1500 6388 ALLERGAN INC COM 018490102 50,074,269 461,514 X 28-5284 441720 19794 26,862,647 247,582 X X 28-5284 241173 2580 3829 61,303 565 X 28-1500 365 200 831,653 7,665 X 28-4580 7465 200 729,337 6,722 X X 28-4580 6722 ALLETE INC COM NEW 018522300 9,786 210 X 28-5284 210 44,456 954 X X 28-5284 954 ALLIANCE RES PARTNER L P UT LTD PART 01877R108 108,300 3,000 X 28-5284 3000 14,440 400 X X 28-5284 400 ALLIANCE WORLD DLR GV FD II COM 01879R106 91,340 7,255 X 28-5284 7255 ALLIANCE WORLD DLR GV FD INC COM 018796102 51,260 4,078 X X 28-5284 4078 ALLIANT ENERGY CORP COM 018802108 15,735 500 X 28-5284 500 25,868 822 X X 28-5284 822 ALLIANT TECHSYSTEMS INC COM 018804104 31,100 403 X 28-5284 403 55,948 725 X X 28-5284 717 8 COLUMN TOTAL 124,753,670 FILE NO. 28-1235 PAGE 11 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 2: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: TITLE OF CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- ----------- --------- ----------- --------- ------- ------ -------- ------- --------- ------- ALLIANZ SP ADR 1/10 AKTIENGESELLSCHAFT SH 018805101 30,042 1,800 X 28-5284 1800 ALLIANCEBERNSTEIN UNIT LTD HOLDING LP PARTN 01881G106 280,039 4,227 X 28-5284 4227 1,209,063 18,250 X X 28-5284 17750 500 53,000 800 X X 28-1500 800 ALLIED CAP CORP NEW COM 01903Q108 162,180 5,300 X 28-5284 5000 300 941,348 30,763 X X 28-5284 30763 ALLIED IRISH BKS P L C SPON ADR ORD 019228402 1,997,626 42,073 X 28-5284 42073 633,573 13,344 X X 28-5284 8300 5044 125,727 2,648 X 28-4580 2648 ALLIED WASTE INDS COM PAR INC $.01NEW 019589308 55,619 4,544 X 28-5284 4544 551 45 X X 28-5284 45 ALLIS CHALMERS COM PAR ENERGY INC $.01NW 019645506 71,339 5,234 X X 28-5284 5234 ALLSTATE CORP COM 020002101 20,942,488 401,890 X 28-5284 388309 13581 29,334,595 562,936 X X 28-5284 544207 18729 10,318 198 X X 28-1500 198 358,152 6,873 X 28-4580 6873 254,453 4,883 X X 28-4580 4883 ALLTEL CORP COM 020039103 49,577,456 765,675 X 28-5284 751320 14355 28,263,699 436,505 X X 28-5284 397172 3390 35943 6,281 97 X X 28-1500 97 688,681 10,636 X 28-4580 10325 311 253,820 3,920 X X 28-4580 3920 ALLTEL CORP PFD C CV $2.06 020039509 12,500 50 X X 28-5284 50 ALMADEN MINERALS LTD COM 020283107 4,200 1,500 X 28-5284 1500 ALMOST FAMILY INC COM 020409108 36,108 2,006 X 28-1500 2006 ALTAIR NANOTECHNOLOGIES INC COM 021373105 3,560 1,000 X 28-5284 1000 3,642 1,023 X 28-1500 1023 5,340 1,500 X X 28-4580 1500 ALTERA CORP COM 021441100 1,806,000 87,500 X 28-5284 9500 78000 475,752 23,050 X X 28-5284 1550 21500 COLUMN TOTAL 137,597,152 FILE NO. 28-1235 PAGE 12 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 2: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: TITLE OF CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------- --------- ----------- --------- ------- ------ -------- ------- --------- ------- ALTRIA GROUP INC COM 02209S103 74,667,875 1,053,738 X 28-5284 1036562 17176 281,210,107 3,968,531 X X 28-5284 3949854 1790 16887 480,856 6,786 X 28-1500 6786 4,210,714 59,423 X 28-4580 59423 2,149,892 30,340 X X 28-4580 28240 2100 ALUMINUM CORP CHINA SPON ADR LTD H SHS 022276109 7,854 75 X X 28-5284 75 AMAZON COM INC COM 023135106 11,872 325 X 28-5284 325 38,064 1,042 X X 28-5284 1042 1,423,757 38,975 X 28-11439 38975 10,959 300 X X 28-4580 300 AMBAC FINL GROUP INC COM 023139108 204,572 2,570 X 28-5284 2570 18,388 231 X X 28-5284 215 16 AMEDISYS INC COM 023436108 3,475 100 X 28-5284 100 AMERADA HESS CORP COM 023551104 508,938 3,574 X 28-5284 3574 648,490 4,554 X X 28-5284 4554 AMEREN CORP COM 023608102 329,011 6,604 X 28-5284 5104 1500 387,600 7,780 X X 28-5284 7780 29,394 590 X X 28-1500 590 30,639 615 X X 28-4580 615 AMERICA FIRST TAX EX BEN UNIT IVS L P CTF 02364V107 3,795 500 X 28-5284 500 AMERICA MOVIL S SPON ADR A DE C V L SHS 02364W105 439,385 12,825 X 28-5284 12825 424,824 12,400 X X 28-5284 12400 41,112 1,200 X X 28-4580 1200 AMERICA MOVIL S SPON ADR A DE C V A SHS 02364W204 107,022 3,144 X 28-5284 3144 AMERICAN AXLE & MFG HLDGS IN COM 024061103 428 25 X 28-5284 25 AMERICAN BANCORP N J INC COM 02407E104 327,600 30,000 X X 28-5284 30000 AMERICAN CAMPUS CMNTYS INC COM 024835100 12,955 500 X X 28-5284 500 AMERICAN CAPITAL STRATEGIES COM 024937104 478,176 13,600 X 28-5284 13600 154,282 4,388 X X 28-5284 3382 1006 42,825 1,218 X 28-1500 148 1070 COLUMN TOTAL 368,404,861 FILE NO. 28-1235 PAGE 13 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 2: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: TITLE OF CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- --------- --------- ----------- --------- ------- ------ -------- ------- --------- ------- AMERICAN EAGLE OUTFITTERS NE COM 02553E106 44,790 1,500 X 28-5284 1500 14,930 500 X X 28-1500 500 AMERICAN COM ECOLOGY CORP NEW 025533407 211,646 10,385 X X 28-1500 10385 AMERICAN ELEC PWR INC COM 025537101 1,324,807 38,942 X 28-5284 38942 1,407,203 41,364 X X 28-5284 23564 17800 10,206 300 X X 28-1500 300 58,923 1,732 X 28-4580 1732 117,029 3,440 X X 28-4580 2898 542 AMERICAN EXPRESS CO COM 025816109 62,340,275 1,186,304 X 28-5284 1149084 37220 28,177,363 536,201 X X 28-5284 507164 3270 25767 33,264 633 X 28-1500 633 6,316,510 120,200 X 28-11439 120200 569,589 10,839 X 28-4580 10669 170 939,594 17,880 X X 28-4580 17880 AMERICAN FINL GROUP INC OHIO COM 025932104 6,242 150 X X 28-5284 150 AMERICAN FINL RLTY TR COM 02607P305 23,300 2,000 X 28-4580 2000 AMERICAN GREETINGS CORP CL A 026375105 35,976 1,664 X 28-5284 1664 4,324 200 X X 28-5284 200 AMERICAN HOME MTG INVT CORP COM 02660R107 2,029 65 X X 28-5284 65 3,121 100 X X 28-1500 100 AMERICAN INTL GROUP INC COM 026874107 155,643,404 2,355,022 X 28-5284 2231298 123724 75,430,698 1,141,333 X X 28-5284 1115412 7755 18166 3,000,618 45,402 X 28-1500 6633 38769 244,863 3,705 X 28-11439 3705 853,751 12,918 X 28-4580 12848 70 2,768,378 41,888 X X 28-4580 41888 AMERICAN ISRAELI PAPER MLS L ORD IS 10 027069509 74,777 1,719 X 28-5284 1719 AMERICAN LD LEASE INC COM 027118108 1,668 61 X X 28-5284 61 AMERICAN NATL INS CO COM 028591105 22,416 200 X X 28-5284 200 AMERICAN PHARMACEUTICALS PTN COM 02886P109 1,425 50 X 28-5284 50 12,821 450 X X 28-5284 450 COLUMN TOTAL 339,695,940 FILE NO. 28-1235 PAGE 14 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 2: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: TITLE OF CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- --------- --------- --------- --------- ------- ------ -------- ------- --------- ------- AMERICAN PWR CONVERSION CORP COM 029066107 107,600 4,656 X 28-5284 4656 582,372 25,200 X X 28-5284 8000 17200 7,904 342 X 28-1500 342 AMERICAN RAILCAR INDS INC COM 02916P103 52,605 1,500 X X 28-5284 1500 AMERICAN REAL DEPOSITRY ESTATE PARTNR UNIT 029169109 6,270 136 X X 28-4580 22 114 AMERICAN SCIENCE & ENGR INC COM 029429107 37,360 400 X X 28-5284 400 AMERICAN STD COS INC DEL COM 029712106 959,164 22,379 X 28-5284 22379 139,338 3,251 X X 28-5284 3226 25 12,858 300 X X 28-1500 300 AMERICAN STS WTR CO COM 029899101 3,736 100 X 28-5284 100 AMERICAN TOWER CORP CL A 029912201 72,647 2,396 X 28-5284 2396 11,643 384 X X 28-5284 357 27 1,449,296 47,800 X 28-11439 47800 AMERICAN SUPERCONDUCTOR CORP COM 030111108 1,135 100 X 28-5284 100 AMERICAN TECHNOLOGY CORP COM NEW 030145205 2,090 500 X X 28-5284 500 AMERICREDIT CORP COM 03060R101 10,756 350 X X 28-5284 300 50 AMERICASBANK CORP COM NEW 03061G302 432,000 60,000 X X 28-5284 60000 AMERICAS CAR MART INC COM 03062T105 6,020 280 X 28-1500 280 AMERIVEST PPTYS INC DEL COM 03071L101 8,840 2,000 X 28-5284 2000 4,420 1,000 X X 28-1500 1000 AMERON INTL INC COM 030710107 6,737 92 X 28-5284 92 AMERUS GROUP CO COM 03072M108 294,634 4,891 X 28-5284 3001 1890 19,759 328 X X 28-5284 328 AMERISOURCEBERGEN CORP COM 03073E105 41,030 850 X 28-5284 250 600 108,511 2,248 X X 28-5284 2248 AMERIGROUP CORP COM 03073T102 568 27 X X 28-5284 27 COLUMN TOTAL 4,379,293 FILE NO. 28-1235 PAGE 15 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 2: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: TITLE OF CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- ----------- --------- ---------- --------- ------- ------ -------- ------- --------- ------- AMERISERV FINL INC COM 03074A102 22,955 4,591 X 28-5284 4591 AMERIPRISE FINL INC COM 03076C106 2,357,494 52,319 X 28-5284 50583 1736 1,679,431 37,271 X X 28-5284 36262 74 935 1,240,952 27,540 X 28-11439 27540 901 20 X 28-4580 20 6,759 150 X X 28-4580 150 AMERIGAS PARTNERS L P UNIT L P INT 030975106 86,170 2,880 X 28-5284 2880 104,720 3,500 X X 28-5284 3500 8,976 300 X X 28-1500 300 AMETEK INC NEW COM 031100100 123,190 2,740 X 28-5284 2740 186,584 4,150 X X 28-5284 4150 44,960 1,000 X X 28-4580 1000 AMGEN INC COM 031162100 40,263,269 553,447 X 28-5284 545127 8320 32,675,663 449,150 X X 28-5284 431247 717 17186 466,546 6,413 X 28-1500 773 5640 457,598 6,290 X 28-4580 6290 1,150,032 15,808 X X 28-4580 15808 AMKOR TECHNOLOGY INC COM 031652100 17,280 2,000 X 28-5284 2000 AMPAL AMERN ISRAEL CORP CL A 032015109 2,867 630 X 28-5284 630 AMPAL AMERN ISRAEL CORP PFD CV 6.50% 032015307 46,536 3,566 X 28-5284 3566 AMPHENOL CORP NEW CL A 032095101 522 10 X X 28-5284 10 AMREIT CL A 032158107 118,955 15,652 X X 28-1500 15652 AMSOUTH BANCORPORATION COM 032165102 178,043 6,582 X 28-5284 6582 387,464 14,324 X X 28-5284 10324 4000 AMSURG CORP COM 03232P405 22,123 975 X 28-5284 975 3,971 175 X 28-1500 175 AMYLIN PHARMACEUTICALS INC COM 032346108 14,685 300 X 28-5284 300 3,822,995 78,100 X X 28-5284 78100 9,790 200 X X 28-1500 200 COLUMN TOTAL 85,501,431 FILE NO. 28-1235 PAGE 16 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: ITEM 2: CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------------- --------- ---------- --------- ------- ------ -------- ------- --------- ------- ANADARKO PETE CORP COM 032511107 8,931,102 88,418 X 28-5284 84481 3937 7,116,761 70,456 X X 28-5284 68624 1832 10,101 100 X X 28-1500 100 3,030 30 X X 28-4580 30 ANADYS PHARMACEUTICALS INC COM 03252Q408 1,611 100 X X 28-5284 100 ANALOG DEVICES INC COM 032654105 1,908,106 49,833 X 28-5284 49583 250 1,188,254 31,033 X X 28-5284 31033 18,954 495 X 28-4580 495 ANDERSONS INC COM 034164103 1,016,990 13,000 X X 28-1500 13000 ANDREW CORP COM 034425108 6,533 532 X 28-5284 532 4,912 400 X X 28-5284 400 12,280 1,000 X 28-4580 1000 ANGLO AMERN PLC ADR 03485P102 57,066 2,916 X 28-5284 2916 1,142,105 58,360 X X 28-5284 58360 ANGLOGOLD ASHANTI LTD SPONSORED ADR 035128206 16,236 300 X 28-5284 300 37,884 700 X X 28-5284 700 ANHEUSER BUSCH COS INC COM 035229103 21,596,198 504,938 X 28-5284 487859 17079 18,653,537 436,136 X X 28-5284 425774 1350 9012 426,631 9,975 X 28-1500 9975 188,017 4,396 X 28-4580 4396 743,214 17,377 X X 28-4580 17377 ANIXTER INTL INC COM 035290105 12,232 256 X 28-5284 256 ANNALY MTG MGMT INC COM 035710409 29,136 2,400 X 28-5284 2400 6,070 500 X X 28-5284 500 ANSYS INC COM 03662Q105 32,490 600 X 28-5284 600 64,980 1,200 X X 28-5284 1200 ANTEON INTL CORP COM 03674E108 190,960 3,500 X X 28-5284 3500 ANTHRACITE CAP INC COM 037023108 43,920 4,000 X 28-5284 4000 ANWORTH MORTGAGE ASSET CP COM 037347101 7,860 1,000 X 28-5284 1000 117,900 15,000 X 28-4580 15000 COLUMN TOTAL 63,585,070 FILE NO. 28-1235 PAGE 17 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: ITEM 2: CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------------- --------- ---------- --------- ------- ------ -------- ------- --------- ------- AON CORP COM 037389103 661,752 15,942 X 28-5284 15942 1,762,307 42,455 X X 28-5284 39035 1220 2200 1,901,158 45,800 X 28-11439 45800 APACHE CORP COM 037411105 2,274,376 34,718 X 28-5284 12650 22068 5,144,893 78,536 X X 28-5284 70436 8100 93,090 1,421 X X 28-1500 1421 APARTMENT INVT & MGMT CO CL A 03748R101 16,415 350 X 28-5284 350 938 20 X X 28-5284 20 APOLLO GROUP INC CL A 037604105 21,004 400 X 28-5284 400 66,058 1,258 X X 28-5284 1258 APOLLO INVT CORP COM 03761U106 1,959 110 X 28-5284 110 17,810 1,000 X X 28-5284 1000 APPLE COMPUTER INC COM 037833100 4,094,801 65,287 X 28-5284 63787 1500 2,986,977 47,624 X X 28-5284 45924 1700 190,167 3,032 X 28-1500 3032 37,632 600 X 28-4580 600 62,971 1,004 X X 28-4580 1004 APPLEBEES INTL INC COM 037899101 31,301 1,275 X X 28-5284 1275 4,910 200 X X 28-1500 200 APRIA HEALTHCARE GROUP INC COM 037933108 6,894 300 X 28-5284 300 5,975 260 X X 28-5284 245 15 APPLERA CORP COM AP BIO GRP 038020103 482,006 17,760 X 28-5284 17760 328,557 12,106 X X 28-5284 12106 36,802 1,356 X X 28-4580 1356 APPLERA CORP COM CE GEN GRP 038020202 29,225 2,500 X 28-5284 2500 12,765 1,092 X X 28-5284 1092 3,951 338 X X 28-4580 338 APPLIED DIGITAL SOLUTIONS COM NEW 038188306 8,120 2,800 X 28-5284 2800 APPLIED INDL TECHNOLOGIES IN COM 03820C105 66,900 1,500 X 28-5284 1500 APPLIED MICRO CIRCUITS CORP COM 03822W109 9,088 2,233 X 28-5284 2233 2,849 700 X X 28-5284 700 COLUMN TOTAL 20,363,651 FILE NO. 28-1235 PAGE 18 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: ITEM 2: CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------------- --------- ---------- --------- ------- ------ -------- ------- --------- ------- APPLIED MATLS INC COM 038222105 16,534,868 944,310 X 28-5284 847230 97080 5,802,726 331,395 X X 28-5284 314458 5900 11037 387,811 22,148 X 28-1500 2698 19450 8,230 470 X 28-4580 470 AQUA AMERICA INC COM 03836W103 2,281,741 82,018 X 28-5284 79676 2342 3,633,542 130,609 X X 28-5284 129143 1466 779,322 28,013 X X 28-1500 28013 9,264 333 X 28-4580 333 AQUILA INC COM 03840P102 11,970 3,000 X X 28-5284 3000 ARACRUZ CELULOSE S A SPON ADR PFD B 038496204 35,205 665 X X 28-5284 665 ARAMARK CORP CL B 038521100 9,010,350 305,022 X 28-5284 305022 2,570 87 X X 28-5284 87 ARCH CHEMICALS INC COM 03937R102 237,454 7,811 X X 28-5284 7811 ARCH COAL INC COM 039380100 41,843 551 X 28-5284 551 68,346 900 X X 28-5284 550 350 ARCHER DANIELS MIDLAND CO COM 039483102 15,969,381 474,573 X 28-5284 458453 16120 3,981,535 118,322 X X 28-5284 109781 2400 6141 16,825 500 X X 28-1500 500 438,695 13,037 X 28-4580 12439 598 70,665 2,100 X X 28-4580 1900 200 ARCHSTONE SMITH TR COM 039583109 404,791 8,300 X 28-5284 8300 5,519,106 113,166 X X 28-5284 13166 100000 ARDEN RLTY INC COM 039793104 90,260 2,000 X X 28-5284 2000 ARGONAUT GROUP INC COM 040157109 4,799 135 X 28-5284 135 17,775 500 X X 28-5284 500 ARIBA INC COM NEW 04033V203 1,623 166 X 28-5284 166 ARKANSAS BEST CORP DEL COM 040790107 3,912 100 X X 28-5284 100 ARMOR HOLDINGS INC COM 042260109 29,145 500 X 28-5284 500 14,573 250 X X 28-5284 250 COLUMN TOTAL 65,408,327 FILE NO. 28-1235 PAGE 19 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: ITEM 2: CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------------- --------- ---------- --------- ------- ------ -------- ------- --------- ------- AROTECH CORP COM 042682104 902 1,840 X 28-5284 1840 ARROW ELECTRS INC COM 042735100 7,616 236 X 28-5284 236 58,086 1,800 X X 28-5284 1800 ARROWHEAD RESH CORP COM 042797100 5,120 1,000 X 28-5284 1000 ARTESIAN RESOURCES CORP CL A 043113208 60,120 1,800 X 28-5284 1800 18,370 550 X X 28-5284 550 66,800 2,000 X X 28-1500 2000 ARTESYN TECHNOLOGIES INC COM 043127109 1,073,220 98,011 X 28-5284 98011 ARVINMERITOR INC COM 043353101 51,961 3,485 X 28-5284 3485 90,161 6,047 X X 28-5284 6047 ASHLAND INC NEW COM 044209104 807,469 11,360 X 28-5284 7860 3500 182,533 2,568 X X 28-5284 2568 201,227 2,831 X X 28-1500 2831 ASIA TIGERS FD INC COM 04516T105 4,950 300 X 28-5284 300 8,250 500 X X 28-1500 500 ASSOCIATED BANC CORP COM 045487105 15,178,866 446,700 X 28-5284 433765 12935 4,903,348 144,301 X X 28-5284 135076 5240 3985 352,780 10,382 X 28-4580 10226 156 26,572 782 X X 28-4580 782 ASSURANT INC COM 04621x108 15,071 306 X X 28-5284 300 6 ASTORIA FINL CORP COM 046265104 143,500 4,635 X X 28-5284 4600 35 ASTRAZENECA PLC SPONSORED ADR 046353108 77,354 1,540 X 28-5284 670 870 37,421 745 X X 28-5284 745 ATHEROGENICS INC COM 047439104 397,049 24,329 X X 28-5284 24329 ATLANTIC TELE NETWORK INC COM NEW 049079205 14,250 250 X X 28-5284 250 ATLANTIS PLASTICS INC COM 049156102 25,933 2,750 X 28-5284 2750 ATLAS AMER INC COM 049167109 126,888 2,654 X X 28-5284 2654 COLUMN TOTAL 23,935,817 FILE NO. 28-1235 PAGE 20 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 2: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: TITLE OF CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- --------- --------- ----------- --------- ------- ------ -------- ------- --------- ------- ATLAS PIPELINE UNIT L P PARTNERS LP INT 049392103 8,460 200 X 28-5284 200 4,230 100 X X 28-5284 100 ATMEL CORP COM 049513104 448,400 95,000 X X 28-5284 95000 ATMOS ENERGY CORP COM 049560105 805,698 30,600 X 28-5284 25600 5000 42,786 1,625 X X 28-5284 1625 106,847 4,058 X X 28-1500 4058 ATRION CORP COM 049904105 17,378 220 X 28-1500 220 AUBURN NATL BANCORP COM 050473107 462,501 20,100 X 28-1500 20100 AUDIBLE INC COM NEW 05069A302 2,638 251 X 28-5284 251 AUSTRALIA&NEW ZEALAND BKG SPONSORED GR ADR 052528304 18,984 200 X X 28-5284 200 AUTODESK INC COM 052769106 30,585 794 X 28-5284 794 88,095 2,287 X X 28-5284 1027 1260 43,913 1,140 X X 28-1500 1140 AUTOLIV INC COM 052800109 289,690 5,120 X 28-5284 5120 209,968 3,711 X X 28-5284 3702 9 AUTOMATIC DATA PROCESSING IN COM 053015103 89,227,384 1,953,314 X 28-5284 1802679 150635 41,971,378 918,813 X X 28-5284 890487 4405 23921 908,986 19,899 X 28-1500 8391 11508 233,653 5,115 X 28-4580 5115 865,362 18,944 X X 28-4580 18944 AUTONATION INC COM 05329w102 2,155 100 X 28-5284 100 AUTOZONE INC COM 053332102 44,861 450 X 28-5284 450 114,644 1,150 X X 28-5284 1150 AVANEX CORP COM 05348w109 3,250 1,000 X X 28-5284 1000 AVALONBAY CMNTYS INC COM 053484101 316,390 2,900 X X 28-5284 2900 AVATAR HLDGS INC COM 053494100 134,200 2,200 X 28-5284 1300 900 42,700 700 X X 28-5284 700 COLUMN TOTAL 136,445,136 FILE NO. 28-1235 PAGE 21 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 2: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: TITLE OF CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- --------- --------- ---------- --------- ------- ------ -------- ------- --------- ------- AVAYA INC COM 053499109 39,742 3,517 X 28-5284 3287 230 75,574 6,688 X X 28-5284 3237 3451 1,492 132 X X 28-4580 132 AVERY DENNISON CORP COM 053611109 1,358,256 23,226 X 28-5284 23226 2,599,144 44,445 X X 28-5284 44445 AVIALL INC NEW COM 05366B102 7,235 190 X 28-5284 190 41,888 1,100 X X 28-5284 1100 AVID TECHNOLOGY INC COM 05367P100 25,641 590 X 28-5284 590 68,667 1,580 X X 28-5284 1580 17,384 400 X 28-4580 400 21,730 500 X X 28-4580 500 AVISTA CORP COM 05379B107 8,260 400 X X 28-5284 400 AVNET INC COM 053807103 50,760 2,000 X X 28-5284 2000 AVIZA TECHNOLOGY INC COM 05381A105 1,235 290 X 28-5284 290 AVOCENT CORP COM 053893103 1,904 60 X 28-5284 60 413 13 X X 28-5284 13 AVON PRODS INC COM 054303102 4,010,332 128,660 X 28-5284 111604 17056 257,495 8,261 X X 28-5284 7461 800 AXA SPONSORED ADR 054536107 18,389 526 X 28-5284 526 8,251 236 X X 28-5284 236 AXCELIS TECHNOLOGIES INC COM 054540109 10,003 1,707 X 28-5284 1707 51,322 8,758 X X 28-5284 8758 AZTAR CORP COM 054802103 29,393 700 X X 28-5284 700 2,897 69 X X 28-4580 10 59 BB&T CORP COM 054937107 10,627,434 271,108 X 28-5284 267436 3672 561,226 14,317 X X 28-5284 4248 9187 882 1,353,341 34,524 X 28-1500 33000 1524 112,269 2,864 X 28-4580 2864 BASFAG SPONSORED ADR 055262505 7,840 100 X 28-5284 100 COLUMN TOTAL 21,369,517 FILE NO. 28-1235 PAGE 22 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: ITEM 2: CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------------- --------- ----------- --------- ------- ------ -------- ------- --------- ------- BCE INC COM 05534B109 18,406 765 X 28-5284 765 121,022 5,030 X X 28-5284 830 4200 BG PLC ADR FIN INST N 055434203 18,813 300 X 28-5284 300 18,813 300 X X 28-5284 300 51,297 818 X X 28-1500 818 29,474 470 X X 28-4580 470 BJS WHOLESALE CLUB INC COM 05548J106 99,257 3,150 X 28-5284 3150 BJ SVCS CO COM 055482103 26,088 754 X 28-5284 754 515,159 14,889 X X 28-5284 14870 19 4,567 132 X 28-1500 132 BP PLC SPONSORED ADR 055622104 131,613,423 1,909,101 X 28-5284 1892914 16187 203,220,229 2,947,784 X X 28-5284 1644140 8145 1295499 808,046 11,721 X 28-1500 11721 2,678,112 38,847 X 28-4580 38847 9,916,812 143,847 X X 28-4580 95331 48516 BP PRUDHOE BAY RTY TR UNIT BEN INT 055630107 169,656 2,400 X 28-5284 2400 125,404 1,774 X X 28-5284 1774 14,138 200 X X 28-1500 200 BRE PROPERTIES INC CL A 05564E106 140,000 2,500 X 28-5284 2500 269,416 4,811 X X 28-5284 4811 BT GROUP PLC ADR 05577E101 22,943 591 X 28-5284 591 3,882 100 X X 28-5284 100 BMC SOFTWARE INC COM 055921100 2,166 100 X 28-5284 100 104,791 4,838 X X 28-5284 2038 2800 BNCCORP INC COM 055936108 1,508,550 113,000 X 28-1500 113000 BAKER HUGHES INC COM 057224107 12,854,617 187,933 X 28-5284 148033 39900 4,366,998 63,845 X X 28-5284 53175 10670 274,284 4,010 X X 28-1500 4010 58,140 850 X 28-4580 850 117,511 1,718 X X 28-4580 1718 COLUMN TOTAL 369,172,014 FILE NO. 28-1235 PAGE 23 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 2: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: TITLE OF CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- ---------- --------- ----------- --------- ------- ------ -------- ------- --------- ------- BALL CORP COM 058498106 4,175,290 95,261 X 28-5284 91727 3534 2,899,574 66,155 X X 28-5284 64400 180 1575 19,724 450 X 28-4580 450 110,452 2,520 X X 28-4580 2520 BALLARD PWR SYS INC COM 05858H104 1,016 150 X 28-5284 150 37,404 5,525 X X 28-5284 5525 BALLY TECHNOLOGIES INC COM 05874B107 25,485 1,500 X X 28-5284 1500 BANCO BILBAO VIZCAYA SPONSORED ARGENTA ADR 05946K101 1,835 88 X 28-5284 88 BANCO BRADESCO S SP ADR PFD A NEW 059460303 67,331 1,875 X X 28-5284 1875 BANCO SANTANDER CENT HISPANO ADR 05964H105 207,725 14,218 X 28-5284 14218 BANCORP INC DEL COM 05969A105 162,030 6,600 X X 28-5284 6600 BANCORPSOUTH INC COM 059692103 132,055 5,500 X 28-5284 5500 109,005 4,540 X X 28-5284 4540 BANCROFT CONV FD INC COM 059695106 53,645 2,855 X 28-5284 2855 BANK OF AMERICA CORPORATION COM 060505104 305,613,521 6,710,881 X 28-5284 6655034 55847 190,997,083 4,194,051 X X 28-5284 4092147 24091 77813 8,657,245 190,102 X 28-1500 176400 13702 6,220,309 136,590 X 28-4580 136010 580 2,206,550 48,453 X X 28-4580 47711 742 BANK HAWAII CORP COM 062540109 37,530 704 X 28-5284 704 159,930 3,000 X X 28-5284 3000 BANK MONTREAL QUE COM 063671101 2,841,000 50,000 X 28-5284 50000 BANK NEW YORK INC COM 064057102 2,228,065 61,822 X 28-5284 37151 24671 1,185,896 32,905 X X 28-5284 26855 5000 1050 169,388 4,700 X 28-4580 4700 57,664 1,600 X X 28-4580 1600 BANK NOVA SCOTIA HALIFAX COM 064149107 4,660,254 116,100 X 28-5284 116100 BANK VA CHESTERFIELD COM 06544P104 163,000 20,000 X X 28-5284 20000 COLUMN TOTAL 533,200,006 FILE NO. 28-1235 PAGE 24 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 2: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: TITLE OF CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------- --------- ---------- --------- ------- ------ -------- ------- --------- ------- BANK WILMINGTON CORP COM 065820102 225,000 18,750 X X 28-5284 18750 BANKATLANTIC BANCORP CL A 065908501 14,390 1,000 X 28-5284 1000 115,120 8,000 X X 28-5284 8000 BANKUNITED FINL CORP CL A 06652B103 324 12 X X 28-5284 12 BANNER CORP COM 06652V109 103,088 3,032 X X 28-4580 3032 BANTA CORP COM 066821109 9,097 175 X X 28-5284 175 BAR HBR BANKSHARES COM 066849100 63,020 2,000 X X 28-5284 2000 BARD C R INC COM 067383109 29,926,519 441,329 X 28-5284 433447 7882 7,923,124 116,843 X X 28-5284 109086 3790 3967 211,906 3,125 X X 28-1500 3125 768,423 11,332 X 28-4580 11182 150 114,124 1,683 X X 28-4580 1683 BARNES & NOBLE INC COM 067774109 41,625 900 X 28-5284 600 300 82,973 1,794 X X 28-5284 1794 87,875 1,900 X X 28-1500 1900 BARRICK GOLD CORP COM 067901108 216,122 7,934 X 28-5284 7934 1,248,001 45,815 X X 28-5284 45815 BARR PHARMACEUTICALS INC COM 068306109 5,516,481 87,591 X 28-5284 87096 495 5,116,117 81,234 X X 28-5284 79842 780 612 17,949 285 X X 28-1500 285 9,447 150 X 28-4580 150 BARRETT BUSINESS SERVICES IN COM 068463108 876,150 32,450 X X 28-5284 32450 BARRY R G CORP OHIO COM 068798107 62,000 10,000 X X 28-1500 10000 BAUSCH & LOMB INC COM 071707103 308,945 4,850 X 28-5284 4850 343,980 5,400 X X 28-5284 5400 BAXTER INTL INC COM 071813109 7,074,753 182,292 X 28-5284 156492 25800 7,291,312 187,872 X X 28-5284 161682 300 25890 53,558 1,380 X X 28-1500 1380 12,419 320 X 28-4580 320 83,480 2,151 X X 28-4580 2151 COLUMN TOTAL 67,917,322 FILE NO. 28-1235 PAGE 25 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: ITEM 2: CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------------- --------- ---------- --------- ------- ------ -------- ------- --------- ------- BAYER A G SPONSORED ADR 072730302 60,075 1,500 X 28-5284 500 1000 110,138 2,750 X X 28-5284 300 2450 4,005 100 X X 28-1500 100 BE AEROSPACE INC COM 073302101 25,120 1,000 X 28-5284 1000 7,536 300 X X 28-5284 300 BEA SYS INC COM 073325102 238,808 18,188 X 28-5284 12588 5600 227,162 17,301 X X 28-5284 9601 7700 60,674 4,621 X 28-1500 4621 BEACON POWER CORP COM 073677106 862 516 X 28-5284 516 BEAR STEARNS COS INC COM 073902108 284,335 2,050 X 28-5284 1250 800 990,457 7,141 X X 28-5284 1261 5880 735,110 5,300 X 28-11439 5300 BEARINGPOINT INC COM 074002106 662 78 X X 28-5284 78 BEBE STORES INC COM 075571109 58,815 3,193 X 28-1500 3193 BECKMAN COULTER INC COM 075811109 179,208 3,284 X 28-5284 1504 1780 504,554 9,246 X X 28-5284 7321 1925 22,046 404 X X 28-4580 404 BECTON DICKINSON & CO COM 075887109 1,080,421 17,545 X 28-5284 15145 2400 3,965,198 64,391 X X 28-5284 57191 7200 BED BATH & BEYOND INC COM 075896100 13,199,693 343,742 X 28-5284 338822 4920 6,716,467 174,908 X X 28-5284 168583 3780 2545 48,691 1,268 X X 28-1500 1268 276,288 7,195 X 28-4580 7195 409,651 10,668 X X 28-4580 10408 260 BELLSOUTH CORP COM 079860102 38,244,037 1,103,724 X 28-5284 1067296 36428 24,148,001 696,912 X X 28-5284 645431 3068 48413 335,966 9,696 X 28-1500 9696 2,206,685 63,685 X 28-4580 63685 1,154,503 33,319 X X 28-4580 32943 376 BELO CORP COM SER A 080555105 150,929 7,592 X 28-5284 4892 2700 101,308 5,096 X X 28-5284 1900 3196 COLUMN TOTAL 95,547,405 FILE NO. 28-1235 PAGE 26 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: ITEM 2: CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------------- --------- ----------- --------- ------- ------ -------- ------- --------- ------- BEMIS INC COM 081437105 1,044,509 33,075 X 28-5284 33075 361,749 11,455 X X 28-5284 11455 BENCHMARK ELECTRS INC COM 08160H101 20,134 525 X 28-5284 525 BENTLEY PHARMACEUTICALS INC COM 082657107 6,575 500 X 28-5284 500 BERKLEY W R CORP COM 084423102 8,267,570 142,397 X 28-5284 142397 1,557,692 26,829 X X 28-5284 26829 BERKSHIRE HATHAWAY INC DEL CL A 084670108 0 267 X 28-5284 248 19 0 923 X X 28-5284 881 42 0 5 X X 28-1500 5 0 11 X X 28-4580 10 1 BERKSHIRE HATHAWAY INC DEL CL B 084670207 49,827,516 16,543 X 28-5284 15718 825 18,005,736 5,978 X X 28-5284 5766 90 122 978,900 325 X 28-1500 227 98 307,224 102 X 28-4580 102 503,004 167 X X 28-4580 124 43 BERKSHIRE HILLS BANCORP INC COM 084680107 13,976 400 X 28-5284 400 BERRY PETE CO CL A 085789105 764,587 11,170 X X 28-5284 10670 500 BEST BUY INC COM 086516101 17,711,689 316,676 X 28-5284 309426 7250 7,988,594 142,832 X X 28-5284 136327 3280 3225 156,268 2,794 X X 28-1500 2794 246,707 4,411 X 28-4580 4411 244,806 4,377 X X 28-4580 4377 BHP BILLITON LTD SPONSORED ADR 088606108 260,260 6,531 X 28-5284 1434 5097 474,135 11,898 X X 28-5284 8648 50 3200 3,985 100 X X 28-1500 100 4,224 106 X X 28-4580 24 82 BIO IMAGING TECHNOLOGIES INC COM 09056N103 110,003 25,883 X X 28-5284 25883 BIO RAD LABS INC CL A 090572207 93,525 1,500 X 28-5284 700 800 56,115 900 X X 28-5284 900 BIOCRYST PHARMACEUTICALS COM 09058V103 5,870 325 X 28-5284 325 COLUMN TOTAL 109,015,353 FILE NO. 28-1235 PAGE 27 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: ITEM 2: CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------------- --------- ---------- --------- ------- ------ -------- ------- --------- ------- BIOMET INC COM 090613100 468,473 13,189 X 28-5284 10874 2315 282,562 7,955 X X 28-5284 2855 5100 71,928 2,025 X 28-1500 2025 BIOGEN IDEC INC COM 09062X103 53,553 1,137 X 28-5284 1137 178,226 3,784 X X 28-5284 2289 1495 6,359 135 X X 28-1500 135 BIOMED REALTY TRUST INC COM 09063H107 5,928 200 X 28-5284 200 BIOTECH HOLDERS TR DEPOSTRY RCPTS 09067D201 309,840 1,600 X 28-5284 1600 387,300 2,000 X X 28-5284 1000 1000 BIOSCRIP INC COM 09069N108 72,100 10,000 X X 28-1500 10000 BIOSITE INC COM 090945106 3,895 75 X X 28-5284 75 BLACK & DECKER CORP COM 091797100 25,218,780 290,238 X 28-5284 281108 9130 6,791,757 78,165 X X 28-5284 75262 1300 1603 8,689 100 X X 28-1500 100 752,294 8,658 X 28-4580 8387 271 146,670 1,688 X X 28-4580 1562 126 BLACK BOX CORP DEL COM 091826107 9,610 200 X X 28-5284 200 BLACKROCK GLOBAL FLG INC TR COM 091941104 51,268 2,800 X X 28-5284 2800 BLACK HILLS CORP COM 092113109 61,200 1,800 X X 28-5284 1800 BLACKROCK FLA INVT QUALITY M COM 09247B109 54,036 3,455 X 28-5284 3455 BLACKROCK INVT QUALITY MUN T COM 09247D105 477,035 26,650 X 28-5284 26650 17,005 950 X X 28-5284 950 BLACKROCK NY INVT QUALITY MU COM 09247E103 246,607 15,798 X 28-5284 15798 179,702 11,512 X X 28-5284 11512 BLACKROCK INCOME TR INC COM 09247F100 96,812 15,640 X X 28-5284 15640 BLACKROCK FL INSD MUN 2008 T COM 09247H106 85,871 6,043 X 28-5284 6043 42,630 3,000 X X 28-5284 1000 2000 COLUMN TOTAL 36,080,130 FILE NO. 28-1235 PAGE 28 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 2: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: TITLE OF CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- ----------- --------- ----------- --------- ------- ------ -------- ------- --------- ------- BLACKROCK INSD MUN 2008 TRM COM 09247K109 97,578 6,255 X 28-5284 6255 194,282 12,454 X X 28-5284 454 12000 1,763 113 X X 28-4580 113 BLACKROCK NY INSD MUN 2008 T COM 09247L107 19,799 1,300 X 28-5284 1300 BLACKROCK MUN TARGET TERM TR COM 09247M105 161,480 16,148 X 28-5284 16148 422,370 42,237 X X 28-5284 32237 10000 BLACKROCK INC CL A 09247X101 61,642,000 440,300 X 28-5284 440300 205,800 1,470 X X 28-5284 1170 300 910,000 6,500 X X 28-1500 6500 614,320,000 4,388,000 X 4388000 BLACKROCK INSD MUN TERM TR I COM 092474105 17,104 1,600 X 28-5284 1600 329,134 30,789 X X 28-5284 12789 18000 BLACKROCK INCOME OPP TRUST I COM 092475102 60,420 5,700 X 28-5284 5700 58,300 5,500 X X 28-5284 4500 1000 BLACKROCK INSD MUN INCOME TR COM 092479104 103,982 7,333 X 28-5284 7333 BLACKROCK MUNI 2018 TERM TR COM 09248C106 87,594 5,516 X 28-5284 5516 BLACKROCK MUN INCOME TR SH BEN INT 09248F109 273,736 16,510 X 28-5284 16510 107,869 6,506 X X 28-5284 6506 BLACKROCK N J MUN INCOME TR SH BEN INT 09248J101 28,781 1,700 X 28-5284 1700 161,682 9,550 X X 28-5284 9550 BLACKROCK N Y MUN INCOME TR SH BEN INT 09248L106 51,207 3,159 X X 28-5284 3159 BLACKROCK HIGH YIELD TR SH BEN INT 09248N102 28,274 3,448 X 28-5284 3448 BLACKROCK PA STRATEGIC MUN T COM 09248R103 273,229 16,866 X 28-5284 16866 418,365 25,825 X X 28-5284 25825 BLACKROCK STRATEGIC MUN TR COM 09248T109 171,405 9,750 X X 28-5284 9750 BLACKROCK NJ MUNICIPAL BOND COM 09249A109 51,072 3,022 X X 28-5284 3022 BLACKROCK CORE BD TR SHS BEN INT 09249E101 80,968 6,262 X 28-5284 6262 BLACKROCK MUNICIPAL BOND TR COM 09249H104 27,987 1,658 X 28-5284 1658 COLUMN TOTAL 680,306,181 FILE NO. 28-1235 PAGE 29 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: ITEM 2: CUSIP 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 FL MUNICIPAL BOND COM 09249K107 22,474 1,333 X 28-5284 1333 BLACKROCK MUNI INCOME TR II COM 09249N101 36,740 2,200 X X 28-5284 2200 30,979 1,855 X X 28-1500 1855 BLACKROCK PFD OPPORTUNITY TR COM SHS 09249V103 250,400 10,000 X 28-5284 10000 88,642 3,540 X X 28-5284 3540 BLACKROCK LTD DURATION INC T COM SHS 09249W101 69,768 3,800 X 28-5284 3800 18,360 1,000 X X 28-5284 1000 BLACKROCK STRAT DIVD ACHIEVE COM 09249Y107 32,736 2,400 X 28-5284 2400 BLACKROCK DIVID ACHIEVRS TM COM 09250N107 183,400 14,000 X 28-5284 14000 44,213 3,375 X X 28-5284 3375 BLACKROCK GLBL ENRGY & RES T COM 09250U101 10,440 400 X 28-5284 400 BLACKROCK ENHANCED DIV ACHV COM 09251A104 52,425 3,750 X 28-5284 3750 54,620 3,907 X X 28-5284 3907 BLAIR CORP COM 092828102 9,923,824 239,648 X 28-5284 239648 BLDRS INDEX FDS TR ASIA 50 ADR 09348R102 63,042 700 X 28-5284 700 BLDRS INDEX FDS TR EMER MK 50 ADR 09348R300 96,960 750 X 28-5284 750 BLOCK H & R INC COM 093671105 970,266 44,816 X 28-5284 44216 600 412,476 19,052 X X 28-5284 19052 187,099 8,642 X 28-1500 8642 108,250 5,000 X X 28-4580 5000 BLOCKBUSTER INC CL A 093679108 3,970 1,000 X X 28-5284 1000 BLUE DOLPHIN ENERGY CO COM NEW 095395208 1,889 569 X 28-1500 569 BLUE NILE INC COM 09578R103 9,677 275 X X 28-5284 275 BOB EVANS FARMS INC COM 096761101 2,971 100 X 28-5284 100 COLUMN TOTAL 12,675,621 FILE NO. 28-1235 PAGE 30 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: ITEM 2: CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------------- --------- ---------- --------- ------- ------ -------- ------- --------- ------- BOEING CO COM 097023105 18,487,334 237,230 X 28-5284 175117 62113 20,653,632 265,028 X X 28-5284 255472 9556 214,230 2,749 X 28-1500 2749 23,379 300 X 28-11439 300 140,274 1,800 X 28-4580 1800 342,892 4,400 X X 28-4580 4400 BON-TON STORES INC COM 09776J101 3,235 100 X 28-5284 100 BORDERS GROUP INC COM 099709107 15,144 600 X 28-5284 600 BORG WARNER INC COM 099724106 19,693 328 X X 28-5284 328 BOSTON PROPERTIES INC COM 101121101 14,181,553 152,081 X 28-5284 151981 100 9,211,049 98,778 X X 28-5284 69978 28800 55,950 600 X 28-4580 600 BOSTON SCIENTIFIC CORP COM 101137107 73,898 3,206 X 28-5284 3206 659,968 28,632 X X 28-5284 28632 BOWATER INC COM 102183100 2,248 76 X X 28-5284 76 5,916 200 X X 28-4580 200 BOWL AMER INC CL A 102565108 672 46 X X 28-5284 46 BOYD GAMING CORP COM 103304101 194,766 3,900 X 28-5284 2500 1400 134,838 2,700 X X 28-5284 700 2000 1,898 38 X X 28-4580 10 28 BRADY CORP CL A 104674106 104,888 2,800 X X 28-5284 2800 BRANDYWINE RLTY TR SH BEN INT NEW 105368203 31,760 1,000 X 28-5284 1000 54,119 1,704 X X 28-5284 1700 4 BRAZIL FD INC COM 105759104 30,325 500 X 28-5284 500 BRIGGS & STRATTON CORP COM 109043109 2,188,519 61,875 X 28-5284 45675 16200 297,108 8,400 X X 28-5284 8400 BRIGHT HORIZON FAMILY SOLUTI COM 109195107 7,746 200 X 28-5284 200 BRILLIANCE CHINA AUTO HLDG L SPONSORED ADR 10949Q105 7,555 500 X X 28-5284 500 COLUMN TOTAL 67,144,589 FILE NO. 28-1235 PAGE 31 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: ITEM 2: CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------------- --------- ----------- --------- ------- ------ -------- ------- --------- ------- BRINKER INTL INC COM 109641100 108,794 2,575 X 28-5284 2575 275,343 6,517 X X 28-5284 6500 17 94,471 2,236 X X 28-1500 2236 BRISTOL MYERS SQUIBB CO COM 110122108 83,087,839 3,376,182 X 28-5284 3266396 109786 68,083,516 2,766,498 X X 28-5284 2680823 12809 72866 537,679 21,848 X 28-1500 185 21663 1,851,435 75,231 X 28-4580 75231 3,035,225 123,333 X X 28-4580 120133 3200 BRISTOW GROUP INC COM 110394103 6,180 200 X X 28-5284 200 BRITESMILE INC COM NEW 110415205 6 5 X 28-5284 5 BRITISH AMERN TOB PLC SPONSORED ADR 110448107 24,300 500 X 28-5284 500 BROADBAND HOLDRS TR DEPOSITRY RCPT 11130P104 113,960 5,500 X 28-5284 5500 BROADCOM CORP CL A 111320107 190,897 4,423 X 28-5284 4423 81,357 1,885 X X 28-5284 1885 1,107,054 25,650 X X 28-1500 25650 BROADWING CORP COM 11161E101 1,179 80 X 28-5284 80 36,850 2,500 X X 28-5284 2500 BROCADE COMMUNICATIONS SYS I COM 111621108 6,680 1,000 X 28-5284 1000 381 57 X X 28-5284 57 BROOKFIELD ASSET MGMT INC CL A LTD VT SH 112585104 38,542 700 X 28-5284 700 154,168 2,800 X X 28-5284 400 2400 BROOKFIELD PPTYS CORP COM 112900105 7,513 220 X 28-5284 220 BROOKLINE BANCORP INC DEL COM 11373M107 85,195 5,500 X 28-5284 3800 1700 26,333 1,700 X X 28-5284 1700 BROWN & BROWN INC COM 115236101 39,840 1,200 X 28-5284 1200 894,740 26,950 X X 28-5284 26950 BROWN FORMAN CORP CL A 115637100 13,808,308 176,464 X 28-5284 150312 26152 6,823,557 87,202 X X 28-5284 87202 15,650 200 X 28-1500 200 COLUMN TOTAL 180,536,992 FILE NO. 28-1235 PAGE 32 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: ITEM 2: CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------------- --------- ---------- --------- ------- ------ -------- ------- --------- ------- BROWN FORMAN CORP CL B 115637209 13,527,708 175,753 X 28-5284 163164 12589 18,477,495 240,061 X X 28-5284 240061 30,788 400 X 28-1500 400 BRUNSWICK CORP COM 117043109 118,523 3,050 X 28-5284 3050 BRYN MAWR BK CORP COM 117665109 475,347 21,441 X 28-5284 21441 456,702 20,600 X X 28-5284 15600 5000 BUCKEYE PARTNERS L P UNIT LTD PARTN 118230101 459,773 10,765 X 28-5284 8240 2525 461,268 10,800 X X 28-5284 10800 BUCYRUS INTL INC NEW CL A 118759109 1,060 22 X X 28-5284 22 BUFFALO WILD WINGS INC COM 119848109 62,370 1,500 X 28-1500 1500 BUILD A BEAR WORKSHOP COM 120076104 1,686 55 X 28-5284 55 BUILDING MATLS HLDG CORP COM 120113105 21,414 600 X X 28-5284 600 BURLINGTON NORTHN SANTA FE C COM 12189T104 4,332,827 51,996 X 28-5284 51796 200 12,607,246 151,293 X X 28-5284 144528 6765 124,995 1,500 X X 28-1500 1500 52,081 625 X 28-4580 625 566,644 6,800 X X 28-4580 6800 BURLINGTON RES INC COM 122014103 13,835,580 150,534 X 28-5284 147951 2583 16,297,573 177,321 X X 28-5284 167744 9577 782,338 8,512 X X 28-4580 8512 C & F FINL CORP COM 12466Q104 5,965,260 147,000 X 28-1500 147000 CBL & ASSOC PPTYS INC COM 124830100 67,920 1,600 X 28-5284 1600 269,558 6,350 X 28-1500 6350 CBS CORP NEW CL A 124857103 57,479 2,385 X 28-5284 1710 675 36,560 1,517 X X 28-5284 1442 75 CBS CORP NEW CL B 124857202 2,961,770 123,510 X 28-5284 102610 20900 1,783,369 74,369 X X 28-5284 73839 530 8,393 350 X 28-4580 350 87,071 3,631 X X 28-4580 3631 COLUMN TOTAL 93,930,798 FILE NO. 28-1235 PAGE 33 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 2: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: TITLE OF CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------- --------- ---------- --------- ------- ------ -------- ------- --------- ------- CBRL GROUP INC COM 12489V106 39,519 900 X 28-5284 900 21,955 500 X X 28-5284 500 CB RICHARD ELLIS GROUP INC CL A 12497T101 24,210 300 X 28-5284 300 44,385 550 X X 28-5284 550 C COR INC COM 125010108 13,110 1,500 X X 28-5284 1500 C D W CORP COM 12512N105 20,820,542 353,790 X 28-5284 329705 24085 4,543,220 77,200 X X 28-5284 72800 1900 2500 291,131 4,947 X 28-1500 4947 CEC ENTMT INC COM 125137109 403 12 X X 28-5284 12 CH ENERGY GROUP INC COM 12541M102 43,200 900 X 28-5284 900 54,000 1,125 X X 28-5284 1125 24,000 500 X X 28-4580 500 CIGNA CORP COM 125509109 9,463,027 72,447 X 28-5284 71568 879 16,078,538 123,094 X X 28-5284 122194 900 45,064 345 X X 28-1500 345 310,745 2,379 X X 28-4580 2379 CIT GROUP INC COM 125581108 42,709 798 X 28-5284 798 25,154 470 X X 28-5284 460 10 CLECO CORP NEW COM 12561W105 25,791 1,155 X 28-5284 1155 77,217 3,458 X X 28-5284 2082 1376 CMGI INC COM 125750109 222 150 X 28-5284 150 CMS ENERGY CORP COM 125896100 2,720 210 X 28-5284 210 91 7 X X 28-5284 7 CSK AUTO CORP COM 125965103 144,248 10,400 X 28-5284 10400 CNF INC COM 12612W104 182,681 3,658 X 28-5284 3658 34,958 700 X X 28-5284 700 CNB FINL CORP PA COM 126128107 51,750 3,750 X X 28-5284 3750 CNET NETWORKS INC COM 12613R104 44,051 3,100 X 28-5284 3100 COLUMN TOTAL 52,448,641 FILE NO. 28-1235 PAGE 34 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 2: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: TITLE OF CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- --------- --------- ---------- --------- ------- ------ -------- ------- --------- ------- CNOOC LTD SPONSORED ADR 126132109 8,209 105 X X 28-4580 24 81 CNS INC COM 126136100 109,272 5,073 X X 28-1500 5073 CP HOLDRS DEP RCPTS CP 12616K106 298,000 2,500 X X 28-5284 2500 CSX CORP COM 126408103 2,672,522 44,691 X 28-5284 43889 802 1,554,262 25,991 X X 28-5284 23091 2900 113,321 1,895 X 28-4580 1895 CTS CORP COM 126501105 7,065 528 X X 28-5284 528 1,271 95 X X 28-1500 95 CVB FINL CORP COM 126600105 13,355 781 X 28-5284 781 CVS CORP COM 126650100 37,933,616 1,269,957 X 28-5284 1209537 60420 6,872,161 230,069 X X 28-5284 211064 7860 11145 581,748 19,476 X 28-1500 14076 5400 67,536 2,261 X 28-4580 2261 106,039 3,550 X X 28-4580 3550 CA INC COM 12673P105 607,953 22,343 X 28-5284 13743 8600 545,561 20,050 X X 28-5284 8250 11800 CABELAS INC COM 126804301 4,104 200 X 28-5284 200 CABLEVISION SYS CL A NY CORP CABLVS 12686C109 1,469 55 X 28-5284 55 120,150 4,500 X X 28-5284 4500 CABOT CORP COM 127055101 13,596 400 X X 28-4580 400 CABOT MICROELECTRONICS CORP COM 12709P103 4,155 112 X X 28-4580 112 CABOT OIL & GAS CORP COM 127097103 1,773 37 X X 28-5284 37 CACI INTL INC CL A 127190304 11,178 170 X 28-5284 170 348,475 5,300 X X 28-5284 5300 CADBURY SCHWEPPES PLC ADR 127209302 87,000 2,175 X 28-5284 2175 131,600 3,290 X X 28-5284 3290 364,000 9,100 X X 28-4580 9100 CADENCE DESIGN SYSTEM INC COM 127387108 925 50 X X 28-5284 50 COLUMN TOTAL 52,580,316 FILE NO. 28-1235 PAGE 35 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 2: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: TITLE OF CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- ---------- --------- ---------- --------- ------- ------ -------- ------- --------- ------- CALAMOS CONV & HIGH INCOME F COM SHS 12811P108 747,110 45,639 X 28-5284 45639 326,385 19,938 X X 28-5284 18745 1193 CALAMOS ASSET MGMT INC CL A 12811R104 74,800 2,000 X 28-5284 2000 777,920 20,800 X X 28-5284 20800 CALAMOS CONV OPP AND INC FD SH BEN INT 128117108 9,499 458 X 28-5284 458 53,115 2,561 X X 28-5284 2561 CALIFORNIA COASTAL CMNTYS IN COM NEW 129915203 37 1 X 28-5284 1 CALIFORNIA WTR SVC GROUP COM 130788102 16,218 360 X 28-5284 360 6,758 150 X X 28-5284 150 11,037 245 X X 28-1500 245 CALIPER LIFE SCIENCES INC COM 130872104 3,840 600 X X 28-1500 600 CALLAWAY GOLF CO COM 131193104 1,720 100 X 28-5284 100 CAMBRIDGE DISPLAY TECH INC COM 132193103 4,160 500 X 28-5284 500 CAMDEN NATL CORP COM 133034108 38,400 1,000 X X 28-5284 1000 1,543,680 40,200 X 28-1500 40200 CAMDEN PPTY TR SH BEN INT 133131102 2,770,539 38,453 X 28-5284 38453 1,615,721 22,425 X X 28-5284 22425 CAMECO CORP COM 13321L108 392,400 10,900 X X 28-5284 10500 400 43,200 1,200 X X 28-1500 1200 4,464 124 X X 28-4580 28 96 CAMPBELL SOUP CO COM 134429109 3,469,716 107,090 X 28-5284 106340 750 45,706,324 1,410,689 X X 28-5284 83268 1249530 77891 45,360 1,400 X X 28-4580 1400 CANADIAN NATL RY CO COM 136375102 106,317 2,348 X 28-5284 2348 169,800 3,750 X X 28-5284 3750 CANADIAN NAT RES LTD COM 136385101 66,468 1,200 X 28-5284 1200 11,078 200 X X 28-5284 200 83,085 1,500 X X 28-4580 1500 CANADIAN PAC RY LTD COM 13645T100 137,418 2,750 X X 28-5284 2750 COLUMN TOTAL 58,236,569 FILE NO. 28-1235 PAGE 36 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 2: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: TITLE OF CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------- --------- ---------- --------- ------- ------ -------- ------- --------- ------- CANETIC RES TR COM 137513107 17,410 833 X 28-5284 833 6,625 317 X X 28-5284 317 CANO PETE INC COM 137801106 1,600 200 X 28-5284 200 CANON INC ADR 138006309 82,563 1,250 X 28-5284 1250 130,449 1,975 X X 28-5284 1975 CAPITAL BK CORP COM 139793103 8,125 500 X 28-5284 500 3,287,375 202,300 X 28-1500 202300 CAPITAL CROSSING BK COM 140071101 8,312,306 260,901 X 28-1500 260901 CAPITAL ONE FINL CORP COM 14040H105 1,741,326 21,626 X 28-5284 19272 2354 1,826,999 22,690 X X 28-5284 14105 260 8325 53,143 660 X 28-1500 660 CAPSTONE TURBINE CORP COM 14067D102 6,042 1,660 X 28-5284 1660 CARDICA INC COM 14141R101 23,610 3,000 X 28-5284 3000 CARDINAL FINL CORP COM 14149F109 33,825 2,500 X X 28-1500 2500 CARDINAL HEALTH INC COM 14149Y108 23,291,599 312,555 X 28-5284 304745 7810 8,000,467 107,360 X X 28-5284 96752 500 10108 57,082 766 X 28-1500 766 401,663 5,390 X X 28-1500 5390 40,837 548 X 28-4580 548 155,523 2,087 X X 28-4580 1687 400 CARDIOTECH INTL INC COM 14160C100 7,462 2,684 X X 28-5284 2684 CAREMARK RX INC COM 141705103 60,491 1,230 X 28-5284 1230 104,065 2,116 X X 28-5284 2116 24,295 494 X X 28-1500 494 CARLISLE COS INC COM 142339100 834,360 10,200 X 28-5284 7200 3000 180,369 2,205 X X 28-5284 1000 1205 CARMAX INC COM 143130102 13,072 400 X 28-5284 400 COLUMN TOTAL 48,702,683 FILE NO. 28-1235 PAGE 37 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: ITEM 2: CUSIP 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 11,623,698 245,381 X 28-5284 221481 23900 2,768,113 58,436 X X 28-5284 49971 580 7885 9,474 200 X X 28-1500 200 37,896 800 X 28-4580 800 114,778 2,423 X X 28-4580 2423 CARPENTER TECHNOLOGY CORP COM 144285103 29,369,916 310,727 X 28-5284 310727 2,178,402 23,047 X X 28-5284 23044 3 CARTER INC COM 146229109 611,459 9,060 X X 28-5284 9060 CASCADE CORP COM 147195101 5,285 100 X X 28-5284 100 CASH SYSTEMS INC COM 14756B102 183,445 26,395 X X 28-5284 26395 CASTLE ENERGY CORP COM PAR$0.50N 148449309 1,370,811 56,505 X 28-5284 56505 CATALYTICA ENERGY SYS INC COM 148884109 1,132 745 X 28-5284 745 CATERPILLAR INC DEL COM 149123101 27,410,380 381,707 X 28-5284 365434 16273 16,777,042 233,631 X X 28-5284 223560 2000 8071 72,384 1,008 X 28-1500 1008 769,444 10,715 X 28-4580 10643 72 429,783 5,985 X X 28-4580 5855 130 CAVCO INDS INC DEL COM 149568107 29,154 600 X X 28-5284 600 CEDAR FAIR L P DEPOSITRY UNIT 150185106 3,198,575 109,353 X 28-5284 109353 462,150 15,800 X X 28-5284 15800 CEDAR SHOPPING CTRS INC COM NEW 150602209 19,008 1,200 X X 28-5284 1200 CELADON GROUP INC COM 150838100 477,202 21,800 X X 28-5284 21800 CELL GENESYS INC COM 150921104 15,960 2,000 X X 28-5284 2000 CELGENE CORP COM 151020104 141,504 3,200 X 28-5284 3200 209,603 4,740 X X 28-5284 4740 CEMEX S A SPON ADR 5 ORD 151290889 51,245 785 X 28-5284 785 127,753 1,957 X X 28-5284 1957 32,640 500 X X 28-1500 500 COLUMN TOTAL 98,498,236 FILE NO. 28-1235 PAGE 38 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 2: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: TITLE OF CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- --------- --------- --------- --------- ------- ------ -------- ------- --------- ------- CENDANT CORP COM 151313103 302,775 17,451 X 28-5284 16451 1000 1,190,921 68,641 X X 28-5284 61441 7200 30,710 1,770 X 28-1500 1770 8,675 500 X 28-4580 500 13,880 800 X X 28-4580 800 CENTENE CORP DEL COM 15135B101 17,502 600 X 28-5284 600 CENTERPOINT ENERGY INC COM 15189T107 69,791 5,850 X 28-5284 5850 336,617 28,216 X X 28-5284 7916 20300 CENTERPLATE UNIT INC 99/99/999 15189T107 39,990 3,100 X X 28-5284 3100 CENTEX CORP COM 152312104 12,398 200 X 28-5284 200 241,761 3,900 X X 28-5284 3900 CENTRAL FD CDA LTD CL A 153501101 401,078 50,450 X 28-5284 50450 99,375 12,500 X X 28-5284 12500 7,950 1,000 X X 28-4580 1000 CENTRAL PAC FINL CORP COM 154760102 161,605 4,401 X 28-5284 2031 2370 93,783 2,554 X X 28-5284 1200 1354 CENTRAL SECS CORP COM 155123102 131,192 5,333 X 28-5284 5333 CENTURYTEL INC COM 156700106 1,405,386 35,925 X 28-5284 34430 1495 55,629 1,422 X X 28-5284 1422 163,561 4,181 X 28-11439 4181 CEPHALON INC COM 156708109 21,088 350 X 28-5284 350 CERIDIAN CORP NEW COM 156779100 223,960 8,800 X 28-5284 8800 153,260 6,022 X X 28-5284 6022 CHAMPS ENTMT INC DEL COM 158787101 1,650 200 X X 28-1500 200 CHAPARRAL STL CO DEL COM 159423102 532,344 8,200 X X 28-5284 7000 1200 CHARLES RIV LABS INTL INC COM 159864107 784 16 X X 28-5284 16 COLUMN TOTAL 5,717,665 FILE NO. 28-1235 PAGE 39 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 2: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: TITLE OF CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- ---------- --------- ----------- --------- ------- ------ -------- ------- --------- ------- CHARTERMAC SH BEN INT 160908109 153,976 7,585 X 28-5284 7585 10,150 500 X X 28-5284 500 16,301 803 X X 28-1500 803 40,600 2,000 X 28-4580 2000 CHARMING SHOPPES INC COM 161133103 6,394 430 X 28-5284 430 747,589 50,275 X X 28-5284 50275 CHARTWELL DIVD & INCOME FD I COM 16139P104 4,280 400 X 28-5284 400 CHATTEM INC COM 162456107 4,029 107 X 28-1500 107 CHECKFREE CORP NEW COM 162813109 64,388 1,275 X 28-5284 1275 CHECKPOINT SYS INC COM 162825103 1,263 47 X X 28-5284 47 CHEESECAKE FACTORY INC COM 163072101 95,572 2,552 X 28-5284 2552 3,745 100 X X 28-5284 100 CHEMICAL FINL CORP COM 163731102 77,802 2,408 X 28-1500 2408 CHEMTURA CORP COM 163893100 35,163 2,985 X 28-5284 2985 54,883 4,659 X X 28-5284 4626 33 CHESAPEAKE ENERGY CORP COM 165167107 279,706 8,905 X 28-5284 8755 150 302,478 9,630 X X 28-5284 9630 62,820 2,000 X X 28-1500 2000 21,767 693 X X 28-4580 622 71 CHESAPEAKE UTILS CORP COM 165303108 12,496 400 X 28-5284 400 220,242 7,050 X X 28-5284 5600 1450 234,894 7,519 X X 28-4580 7519 CHEVRON CORP NEW COM 166764100 138,023,961 2,380,955 X 28-5284 2270528 110427 202,369,154 3,490,929 X X 28-5284 1567294 5460 1918175 644,510 11,118 X 28-1500 140 10978 2,989,165 51,564 X 28-4580 51464 100 2,544,883 43,900 X X 28-4580 41724 2176 CHICAGO BRIDGE & N Y IRON CO N REGISTRY V S 167250109 19,200 800 X X 28-5284 500 300 CHICAGO MERCANTILE HLDGS INC CL A 167760107 6,265 14 X 28-5284 14 31,325 70 X X 28-5284 70 COLUMN TOTAL 349,079,001 FILE NO. 28-1235 PAGE 40 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: ITEM 2: CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------------- --------- ---------- --------- ------- ------ -------- ------- --------- ------- CHICOS FAS INC COM 168615102 364,338 8,965 X 28-5284 8765 200 1,361,034 33,490 X X 28-5284 33090 400 8,128 200 X X 28-1500 200 CHINA FD INC COM 169373107 5,694 200 X X 28-5284 100 100 CHINA MOBILE HONG KONG LTD SPONSORED ADR 16941M109 26,540 1,000 X X 28-5284 1000 CHINA PETE & CHEM CORP SPON ADR H SHS 16941R108 19,317 331 X 28-5284 331 CHIPOTLE MEXICAN GRILL INC CL A 169656105 11,078 200 X 28-5284 200 88,624 1,600 X X 28-5284 1600 CHOICE HOTELS INTL INC COM 169905106 9,156 200 X 28-5284 200 99,755 2,179 X X 28-5284 2179 68,670 1,500 X X 28-4580 1500 CHIQUITA BRANDS INTL INC *W EXP 03/19/2 170032114 2,299 594 X 28-5284 594 CHIQUITA BRANDS INTL INC COM 170032809 5,618 335 X 28-5284 335 CHIRON CORP COM 170040109 102,798 2,244 X 28-5284 2244 51,170 1,117 X X 28-5284 474 643 146,592 3,200 X 28-11439 3200 CHOICEPOINT INC COM 170388102 67,796 1,515 X 28-5284 1515 67,125 1,500 X X 28-5284 1500 CHUBB CORP COM 171232101 3,117,166 32,661 X 28-5284 32661 8,034,139 84,180 X X 28-5284 80632 3548 21,379 224 X X 28-1500 224 79,215 830 X X 28-4580 830 CHURCH & DWIGHT INC COM 171340102 5,213,104 141,200 X X 28-5284 141200 6,553,300 177,500 X 28-11439 177500 CHURCHILL DOWNS INC COM 171484108 1,310,659 34,203 X 28-5284 34103 100 88,136 2,300 X X 28-5284 2300 536 14 X 28-1500 14 CIENA CORP COM 171779101 7,294 1,400 X 28-5284 1400 COLUMN TOTAL 26,930,660 FILE NO. 28-1235 PAGE 41 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: ITEM 2: CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------------- --------- ----------- --------- ------- ------ -------- ------- --------- ------- CIMAREX ENERGY CO COM 171798101 293,995 6,796 X 28-5284 2796 4000 486,329 11,242 X X 28-5284 7242 4000 CINCINNATI BELL INC NEW COM 171871106 370,739 82,022 X 28-5284 82022 41,132 9,100 X X 28-5284 9100 2,712 600 X X 28-4580 600 CINCINNATI BELL INC NEW PFD CV DEP1/20 171871403 32,438 750 X 28-5284 750 69,200 1,600 X X 28-5284 1600 CINCINNATI FINL CORP COM 172062101 78,445,952 1,864,653 X 28-5284 1682780 181873 7,579,331 180,160 X X 28-5284 168944 2303 8913 1,236,353 29,388 X 28-1500 6555 22833 CINERGY CORP COM 172474108 4,004,753 88,191 X 28-5284 87741 450 4,017,014 88,461 X X 28-5284 88161 300 195,263 4,300 X 28-4580 4300 CIRCOR INTL INC COM 17273K109 20,440 700 X X 28-5284 700 CIRCUIT CITY STORE INC COM 172737108 31,824 1,300 X 28-5284 1300 16,279 665 X X 28-5284 665 CISCO SYS INC COM 17275R102 123,129,698 5,682,035 X 28-5284 5523804 158231 61,100,624 2,819,595 X X 28-5284 2736739 25280 57576 542,032 25,013 X 28-1500 15203 9810 775,786 35,800 X 28-11439 35800 2,577,495 118,943 X 28-4580 117673 1270 829,506 38,279 X X 28-4580 38279 CINTAS CORP COM 172908105 14,467,998 339,465 X 28-5284 332890 6575 9,531,579 223,641 X X 28-5284 218221 5420 26,851 630 X 28-1500 630 90,568 2,125 X X 28-1500 2125 CITIZENS & NORTHN CORP COM 172922106 169,860 7,019 X 28-5284 7019 902,321 37,286 X X 28-5284 37286 COLUMN TOTAL 310,988,072 FILE NO. 28-1235 PAGE 42 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 2: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: TITLE OF CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------- --------- ----------- --------- ------- ------ -------- ------- --------- ------- CITIGROUP INC COM 172967101 154,262,154 3,266,190 X 28-5284 3120160 146030 111,053,410 2,351,332 X X 28-5284 2229999 15242 106091 1,484,581 31,433 X 28-1500 22700 8733 2,322,205 49,168 X 28-11439 49168 3,294,009 69,744 X 28-4580 69204 540 1,978,984 41,901 X X 28-4580 40272 1629 CITI TRENDS INC COM 17306X102 3,976 100 X X 28-5284 100 CITIZENS COMMUNICATIONS CO COM 17453B101 147,788 11,137 X 28-5284 11137 464,039 34,969 X X 28-5284 32969 2000 75,971 5,725 X X 28-1500 5725 47,095 3,549 X X 28-4580 3549 CITIZENS HLDG CO MISS COM 174715102 650,942 27,100 X 28-1500 27100 CITRIX SYS INC COM 177376100 161,151 4,252 X 28-5284 4252 1,523,580 40,200 X X 28-5284 40200 71,366 1,883 X 28-1500 1783 100 CITY HLDG CO COM 177835105 242,483 6,591 X 28-5284 6591 1,055,873 28,700 X 28-1500 28700 CITY NATL CORP COM 178566105 11,410,917 148,599 X 28-5284 144094 4505 2,145,743 27,943 X X 28-5284 25411 1320 1212 302,783 3,943 X 28-4580 3883 60 30,102 392 X X 28-4580 392 CLAIRES STORES INC COM 179584107 12,890 355 X 28-5284 355 36,310 1,000 X X 28-5284 1000 CLARCOR INC COM 179895107 240,300 6,750 X X 28-5284 6750 CLARIENT INC COM 180489106 63,506 56,200 X 28-5284 56200 CLEAR CHANNEL COMMUNICATIONS COM 184502102 642,717 22,155 X 28-5284 21855 300 557,862 19,230 X X 28-5284 19030 200 5,802 200 X X 28-1500 200 6,150 212 X 28-4580 212 CLEAR CHANNEL OUTDOOR HLDGS CL A 18451C109 23,450 1,000 X 28-5284 1000 COLUMN TOTAL 294,318,139 FILE NO. 28-1235 PAGE 43 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: ITEM 2: CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------------- --------- ----------- --------- ------- ------ -------- ------- --------- ------- CLEVELAND CLIFFS INC COM 185896107 2,614 30 X 28-5284 30 104,544 1,200 X X 28-5284 1200 68,563 787 X X 28-1500 787 CLINICAL DATA INC NEW COM 18725U109 61,560 3,000 X X 28-5284 3000 CLOROX CO DEL COM 189054109 10,334,479 172,673 X 28-5284 171473 1200 3,579,509 59,808 X X 28-5284 53098 6710 45,486 760 X 28-1500 760 17,955 300 X 28-4580 300 377,055 6,300 X X 28-4580 6300 COACH INC COM 189754104 23,366,778 675,731 X 28-5284 662916 12815 9,275,117 268,222 X X 28-5284 257675 5940 4607 48,689 1,408 X X 28-1500 1408 507,704 14,682 X 28-4580 14142 540 64,457 1,864 X X 28-4580 1864 COASTAL FINL CORP DEL COM 19046E105 44,307 3,220 X 28-5284 3220 28,800 2,093 X X 28-5284 2093 COCA COLA CO COM 191216100 75,934,553 1,813,579 X 28-5284 1709900 103679 60,952,671 1,455,760 X X 28-5284 1432143 7100 16517 328,386 7,843 X 28-1500 7843 1,952,817 46,640 X 28-4580 46640 2,573,833 61,472 X X 28-4580 61472 COCA COLA ENTERPRISES INC COM 191219104 37,222 1,830 X 28-5284 1830 50,545 2,485 X X 28-1500 2485 COCA-COLA FEMSA S A DE C V SPON ADR REP L 191241108 13,280 400 X 28-5284 400 COEUR D ALENE MINES CORP IDA COM 192108108 13,120 2,000 X 28-5284 2000 14,760 2,250 X X 28-5284 2250 COGENT COMMUNICATIONS GROUP INC COM 19239V302 10,238 1,050 X 1050 COGNOS INC COM 19244C109 85,580 2,200 X X 28-5284 2200 COGNIZANT TECHNOLOGY SOLUTION CL A 192446102 415,121 6,978 X 28-5284 6978 1,361,786 22,891 X X 28-5284 22691 200 93,161 1,566 X X 28-4580 1566 COHEN & STEERS QUALITY RLTY COM 19247L106 28,215 1,286 X X 28-1500 1286 3,796 173 X X 28-4580 173 COLUMN TOTAL 191,796,701 FILE NO. 28-1235 PAGE 44 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: ITEM 2: CUSIP 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 27,750 1,000 X 28-5284 1000 213,675 7,700 X X 28-5284 7700 COHERENT INC COM 192479103 35,110 1,000 X 28-5284 1000 COHEN & STEERS SELECT UTIL F COM 19248A109 26,769 1,309 X X 28-5284 1309 COHU INC COM 192576106 13,263 625 X 28-5284 625 COINSTAR INC COM 19259P300 15,857 612 X 28-1500 612 COLDWATER CREEK INC COM 193068103 37,530 1,350 X X 28-5284 1350 COLEY PHARMACEUTICAL GROUP I COM 19388P106 1,515 100 X X 28-5284 100 COLGATE PALMOLIVE CO COM 194162103 40,146,211 703,086 X 28-5284 635595 67491 28,383,268 497,080 X X 28-5284 477322 5000 14758 101,809 1,783 X X 28-1500 1783 195,282 3,420 X 28-4580 3420 629,470 11,024 X X 28-4580 11024 COLONIAL BANCGROUP INC COM 195493309 2,000 80 X 28-5284 80 830,000 33,200 X X 28-5284 27200 6000 COLONIAL HIGH INCOME MUN TR SH BEN INT 195743109 109,082 15,950 X 28-5284 15950 23,937 3,500 X X 28-5284 3500 COLONIAL INTERMARKET INCM TR SH BEN INT 195762109 8,180 1,000 X 28-5284 1000 1,636 200 X X 28-5284 200 COLONIAL MUN INCOME TR SH BEN INT 195799101 19,856 3,400 X X 28-5284 3400 COLONIAL PPTYS TR COM SH BEN INT 195872106 277,670 5,539 X X 28-5284 5539 COLUMBUS MCKINNON CORP N Y COM 199333105 40,395 1,500 X X 28-1500 1500 COMCAST CORP NEW CL A 20030N101 35,824,158 1,369,425 X 28-5284 1291395 78030 9,884,870 377,862 X X 28-5284 361001 5517 11344 409,221 15,643 X 28-1500 14117 1526 140,087 5,355 X 28-4580 5355 251,424 9,611 X X 28-4580 9611 COLUMN TOTAL 117,650,025 FILE NO. 28-1235 PAGE 45 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 2: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: TITLE OF CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------- --------- ---------- --------- ------- ------ -------- ------- --------- ------- COMCAST CORP NEW CL A SPL 20030N200 5,962,726 228,282 X 28-5284 160482 67800 2,807,378 107,480 X X 28-5284 87530 19950 6,295 241 X X 28-4580 241 COMERICA INC COM 200340107 130,433 2,250 X 28-5284 2250 271,010 4,675 X X 28-5284 4675 2,069,529 35,700 X 28-1500 35700 COMM BANCORP INC COM 200468106 1,001,280 23,840 X 28-5284 23840 COMMERCE BANCORP INC NJ COM 200519106 773,572 21,107 X 28-5284 20707 400 359,170 9,800 X X 28-5284 9800 4,200,273 114,605 X 28-11439 114605 COMMERCE BANCSHARES INC COM 200525103 89,596 1,734 X 28-5284 1040 694 65,776 1,273 X X 28-5284 691 582 COMMERCE GROUP INC MASS COM 200641108 634 12 X X 28-5284 12 COMMERCEFIRST BANCORP INC COM 200845105 36,250 2,500 X X 28-5284 2500 COMMERCIAL METALS CO COM 201723103 21,770 407 X X 28-5284 400 7 COMMERCIAL NET LEASE RLTY IN COM 202218103 34,950 1,500 X X 28-5284 1500 COMMONWEALTH TEL ENTERPRISES COM 203349105 49,332 1,432 X 28-5284 1432 61,976 1,799 X X 28-5284 1799 COMMUNITY BANCSHARES INC S C COM 20343F100 37,648 2,353 X X 28-5284 2353 COMMUNITY BK SYS INC COM 203607106 165,644 7,418 X 28-5284 7418 42,717 1,913 X X 28-5284 1913 2,581,348 115,600 X 28-1500 115600 COMMUNITY BKS INC MILLERSBUR COM 203628102 88,226 3,100 X 28-5284 3000 100 182,258 6,404 X X 28-5284 1984 4000 420 COMMUNITY CAP CORP S C COM 20363C102 31,739 1,323 X 28-5284 1323 COMMUNITY HEALTH SYS INC NEW COM 203668108 4,519 125 X 28-5284 125 COMMUNITY SHORES BANK CORP COM 204046106 14,197 1,190 X 28-1500 1190 COLUMN TOTAL 21,090,246 FILE NO. 28-1235 PAGE 46 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: ITEM 2: CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------------- --------- --------- --------- ------- ------ -------- ------- --------- ------- COMMUNITY TR BANCORP INC COM 204149108 1,763,783 52,029 X 28-5284 37643 14386 2,000 59 X 28-1500 59 COMPANHIA SIDERURGICA NACION SPONSORED ADR 20440W105 34,562 1,100 X X 28-5284 1100 COMPANHIA VALE DO RIO DOCE SPONSORED ADR 204412209 29,118 600 X 28-5284 600 48,530 1,000 X X 28-5284 1000 COMPASS BANCSHARES INC COM 20449H109 556,710 11,000 X 28-5284 11000 612,229 12,097 X X 28-5284 9097 3000 COMPASS MINERALS INTL INC COM 20451N101 205,793 8,235 X 28-5284 2100 6135 COMPUDYNE CORP NOTE 6.250% 1 204795AA6 796,250 10,000 X 28-5284 10000 COMPUDYNE CORP COM PAR $0.75 204795306 23,749 3,383 X 28-1500 3383 COMPUTER PROGRAMS & SYS INC COM 205306103 1,636,000 32,720 X X 28-5284 32720 COMPUTER SCIENCES CORP COM 205363104 44,440 800 X 28-5284 600 200 343,521 6,184 X X 28-5284 4784 1400 7,833 141 X X 28-1500 141 COMPX INTERNATIONAL INC CL A 20563P101 808 50 X 28-5284 50 COMPUWARE CORP COM 205638109 6,264 800 X 28-5284 800 COMTECH TELECOMMUNICATIONS C COM NEW 205826209 32,962 1,130 X 28-5284 1130 COMVERSE TECHNOLOGY INC COM PAR $0.10 205862402 163,957 6,968 X 28-5284 6968 11,436 486 X X 28-1500 486 CONAGRA FOODS INC COM 205887102 138,739 6,465 X 28-5284 6465 2,920,127 136,073 X X 28-5284 113673 500 21900 21,460 1,000 X X 28-1500 1000 67,513 3,146 X X 28-4580 3146 CONCURRENT COMPUTER CORP NEW COM 206710204 2,261 700 X 28-5284 700 71,154 22,029 X 28-1500 22029 CONEXANT SYSTEMS INC COM 207142100 118,680 34,400 X 28-5284 34400 4,830 1,400 X X 28-5284 1000 400 COLUMN TOTAL 9,664,709 FILE NO. 28-1235 PAGE 47 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 2: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: TITLE OF CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------- --------- ---------- --------- ------- ------ -------- ------- --------- ------- CONMED CORP COM 207410101 19,150 1,000 X X 28-5284 1000 CONNECTICUT WTR SVC INC COM 207797101 996 38 X 28-5284 38 10,488 400 X X 28-5284 400 CONOCOPHILLIPS COM 20825C104 17,019,746 269,513 X 28-5284 263563 5950 18,202,735 288,246 X X 28-5284 260417 975 26854 583,569 9,241 X 28-1500 9241 5,658,114 89,598 X 28-4580 89598 12,556,746 198,840 X X 28-4580 195080 3760 CONSOL ENERGY INC COM 20854P109 242,874 3,275 X 28-5284 3275 326,304 4,400 X X 28-5284 4400 CONSOLIDATED EDISON INC COM 209115104 12,321,027 283,242 X 28-5284 282342 900 9,826,781 225,903 X X 28-5284 220793 500 4610 291,102 6,692 X 28-4580 6592 100 315,506 7,253 X X 28-4580 7253 CONSOLIDATED GRAPHICS INC COM 209341106 177,208 3,400 X X 28-5284 3400 CONSOLIDATED TOMOKA LD CO COM 210226106 20,192 325 X 28-5284 325 37,278 600 X X 28-5284 600 CONSTELLATION BRANDS INC CL A 21036P108 854,456 34,110 X 28-5284 33160 950 349,297 13,944 X X 28-5284 13944 71,793 2,866 X X 28-1500 2866 CONSTELLATION BRANDS INC CL B 21036P207 22,104 896 X X 28-5284 896 CONSTELLATION ENERGY GROUP I COM 210371100 722,063 13,198 X 28-5284 13048 150 1,252,640 22,896 X X 28-5284 21256 210 1430 21,884 400 X 28-4580 400 CONSUMER PORTFOLIO SVCS INC COM 210502100 36,810 4,500 X 28-5284 4500 CONTINENTAL AIRLS INC CL B 210795308 13,450 500 X X 28-5284 500 CONVERGYS CORP COM 212485106 1,931,844 106,087 X 28-5284 106087 154,439 8,481 X X 28-5284 8481 10,926 600 X X 28-4580 600 COLUMN TOTAL 83,051,522 FILE NO. 28-1235 PAGE 48 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 2: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: TITLE OF CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------- --------- ---------- --------- ------- ------ -------- ------- --------- ------- COOPER CAMERON CORP COM 216640102 2,645 60 X 28-5284 60 8,816 200 X X 28-5284 200 COOPER COS COM INC NEW 216648402 179,650 3,325 X 28-5284 1080 2245 1,351 25 X X 28-5284 25 COOPER TIRE & RUBR CO COM 216831107 14,770 1,030 X 28-5284 1030 382,448 26,670 X X 28-5284 26670 COPART INC COM 217204106 32,940 1,200 X 28-5284 1200 CORILLIAN CORP COM 218725109 66,418 17,074 X 28-1500 17074 CORN PRODS INTL INC COM 219023108 234,904 7,944 X 28-5284 5424 2520 984,770 33,303 X X 28-5284 31303 2000 CORNING INC COM 219350105 22,601,009 839,562 X 28-5284 820067 19495 8,090,833 300,551 X X 28-5284 280689 3200 16662 12,249 455 X 28-1500 455 127,601 4,740 X 28-4580 4740 347,968 12,926 X X 28-4580 12926 CORPORATE EXECUTIVE BRD CO COM 21988R102 822,335 8,150 X X 28-5284 8150 CORPORATE HIGH YIELD FD V IN COM 219931102 106,513 8,440 X X 28-5284 8440 CORPORATE SH OFFICE BEN PPTYS TR INT 22002T108 45,740 1,000 X 28-5284 1000 750,136 16,400 X X 28-5284 16400 34,305 750 X 28-4580 750 57,175 1,250 X X 28-4580 1250 CORRECTIONS CORP AMER COM NEW NEW 22025Y407 1,401 31 X 28-5284 31 CORUS BANKSHARES INC COM 220873103 624,120 10,500 X 28-1500 10500 COSTCO WHSL CORP NEW COM 22160K105 14,319,958 264,401 X 28-5284 210491 53910 3,920,859 72,394 X X 28-5284 63324 9070 509,429 9,406 X X 28-1500 9406 1,625 30 X 28-4580 30 10,832 200 X X 28-4580 200 COLUMN TOTAL 54,292,800 FILE NO. 28-1235 PAGE 49 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: ITEM 2: CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------------- --------- ---------- --------- ------- ------ -------- ------- --------- ------- COUNTRYWIDE FINANCIAL CORP COM 222372104 3,505,327 95,513 X 28-5284 93005 2508 1,638,068 44,634 X X 28-5284 41918 2716 11,010 300 X 28-1500 300 127,129 3,464 X X 28-4580 3464 COVANCE INC COM 222816100 3,137,720 53,408 X 28-5284 51008 2400 1,610,749 27,417 X X 28-5284 27392 25 11,750 200 X X 28-4580 200 COVENTRY HEALTH CARE INC COM 222862104 151,792 2,812 X 28-5284 2812 545,144 10,099 X X 28-5284 10092 7 16,194 300 X X 28-1500 300 CRANE CO COM 224399105 177,327 4,324 X 28-5284 4324 114,828 2,800 X X 28-5284 2800 CREDIT SUISSE ASSET MGMT INC COM 224916106 79,200 20,000 X X 28-5284 20000 CRAY INC COM 225223106 7,240 4,000 X 28-5284 4000 CREE INC COM 225447101 72,182 2,200 X 28-5284 2200 CRESCENT REAL ESTATE EQUITIE COM 225756105 105,350 5,000 X 28-5284 5000 CRESCENT REAL ESTATE EQUITIE PFD CV A 6.75% 225756204 17,825 826 X X 28-5284 826 CRESUD S A C I F Y A SPONSORED ADR 226406106 10,823 750 X X 28-5284 750 CROCS INC COM 227046109 75,450 3,000 X 28-5284 3000 CROSS TIMBERS RTY TR TR UNIT 22757R109 74,528 1,600 X 28-5284 1600 CROWN CASTLE INTL CORP COM 228227104 567,000 20,000 X X 28-5284 20000 CROWN HOLDINGS INC COM 228368106 108,125 6,095 X 28-5284 6095 97,570 5,500 X X 28-5284 5500 CRUCELL N V SPONSORED ADR 228769105 14,040 500 X X 28-5284 500 CUBIC CORP COM 229669106 9,576 400 X 28-5284 400 COLUMN TOTAL 12,285,947 FILE NO. 28-1235 PAGE 50 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 8: DISCRETION VOTING AUTHORITY ITEM 4: ITEM 5: (B)SHARED (SHARES) ITEM 2: ITEM 3: FAIR SHARES OR -------------- ITEM 7: ------------------ ITEM 1: TITLE OF CUSIP MARKET PRINCIPAL MANAGERS (A) (B) (C) NAME OF ISSUER CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V SOLE SHARED NONE -------------- -------- --------- ---------- --------- ------- ------ -------- ------ ------ ---- CUMMINS INC COM 231021106 33,670,887 320,370 X 28-5284 311745 8625 7,217,112 68,669 X X 28-5284 61753 3180 3736 819,360 7,796 X 28-4580 7523 273 233,112 2,218 X X 28-4580 2218 CUMULUS MEDIA INC CL A 231082108 2,534 225 X 28-5284 225 CURTISS WRIGHT CORP COM 231561101 4,369 66 X 28-5284 66 6,620 100 X X 28-5284 100 CYBERSOURCE CORP COM 23251J106 98,253 8,804 X X 28-5284 8804 CYBERONICS INC COM 23251P102 51,540 2,000 X 28-5284 2000 CYPRESS SEMICONDUCTOR CORP COM 232806109 827,160 48,800 X X 28-5284 48800 CYTEC INDS INC COM 232820100 76,513 1,275 X 28-5284 1275 130,882 2,181 X X 28-5284 1401 780 82,274 1,371 X X 28-4580 1371 CYTOGEN CORP COM NEW 232824300 724 200 X X 28-5284 200 CYTRX CORP COM NEW 232828301 23,625 12,500 X X 28-1500 12500 CYTYC CORP COM 232946103 132,446 4,700 X 28-5284 4700 1,099,020 39,000 X X 28-5284 39000 16,908 600 X X 28-1500 600 DHB INDS INC COM 23321E103 15,774 3,300 X X 28-5284 3300 DNP SELECT INCOME FD COM 23325P104 581,584 55,654 X 28-5284 55654 265,911 25,446 X X 28-5284 25446 140,406 13,436 X 28-1500 13436 DPL INC COM 233293109 554,796 20,548 X 28-5284 20548 196,749 7,287 X X 28-5284 7287 763,263 28,269 X X 28-1500 28269 DRS TECHNOLOGIES INC COM 23330X100 8,231 150 X X 28-5284 150 91,029 1,659 X X 28-1500 1659 D R HORTON INC COM 23331A109 419,635 12,632 X 28-5284 9000 3632 26,576 800 X X 28-5284 600 200 COLUMN TOTAL 47,557,293 FILE NO. 28-1235 PAGE 51 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: ITEM 2: CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------------- --------- ---------- --------- ------- ------ -------- ------- --------- ------- DST SYS INC DEL COM 233326107 17,092 295 X 28-5284 295 11,588 200 X X 28-5284 200 DTE ENERGY CO COM 233331107 108,163 2,698 X 28-5284 2007 691 67,231 1,677 X X 28-5284 1677 19,043 475 X X 28-4580 475 DTF TAX-FREE INCOME INC COM 23334J107 50,734 3,456 X 28-5284 2756 700 13,212 900 X X 28-5284 900 DWS HIGH INCOME TR SHS 23337C109 3,690 500 X X 28-5284 500 DWS MULTI MKT INCOME TR SHS 23338L108 11,914 1,150 X X 28-5284 1150 DWS MUN INCOME TR COM 23338M106 9,558 834 X 28-5284 834 22,920 2,000 X X 28-5284 2000 DWS STRATEGIC MUN INCOME TR COM 23338T101 6,290 500 X 28-5284 500 DAKTRONICS INC COM 234264109 97,711 2,677 X X 28-1500 2677 DANAHER CORP DEL COM 235851102 4,145,367 65,230 X 28-5284 64570 660 5,770,658 90,805 X X 28-5284 88117 2688 57,195 900 X X 28-1500 900 19,065 300 X 28-4580 300 12,710 200 X X 28-4580 200 DARDEN RESTAURANTS INC COM 237194105 1,109,862 27,050 X 28-5284 27050 2,320,944 56,567 X X 28-5284 55310 1257 49,236 1,200 X 28-1500 1200 DATATRAK INTL INC COM 238134100 2,936 400 X X 28-5284 400 DAVITA INC COM 23918K108 9,032 150 X X 28-5284 150 DAWSON GEOPHYSICAL CO COM 239359102 5,520 200 X 28-5284 200 DAYSTAR TECHNOLOGIES INC COM 23962Q100 13,150 1,000 X X 28-5284 1000 DB COMMODITY INDEX TRACKING UNIT BEN INT 240225102 59,850 2,500 X 28-5284 2500 DEAN FOODS CO NEW COM 242370104 773,028 19,908 X 28-5284 19908 335,647 8,644 X X 28-5284 8544 100 COLUMN TOTAL 15,123,346 FILE NO. 28-1235 PAGE 52 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 8: DISCRETION VOTING AUTHORITY ITEM 4: ITEM 5: (B)SHARED (SHARES) ITEM 2: ITEM 3: FAIR SHARES OR -------------- ITEM 7: -------------------- ITEM 1: TITLE OF CUSIP MARKET PRINCIPAL MANAGERS (A) (B) (C) NAME OF ISSUER CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V SOLE SHARED NONE -------------- ------------- --------- ---------- --------- ------- ------ -------- ------- ------ ----- DEARBORN BANCORP INC COM 24242R108 642,465 28,554 X 28-1500 28554 DEBT STRATEGIES FD INC NEW COM 24276Q109 29,745 4,500 X 28-5284 4500 292,764 44,291 X X 28-5284 44291 DECKERS OUTDOOR CORP COM 243537107 8,108 200 X 28-5284 200 DECODE GENETICS INC COM 243586104 21,675 2,500 X 28-5284 2500 867 100 X X 28-1500 100 DECORATOR INDS INC COM PAR $0.20 243631207 2,876 325 X X 28-5284 325 DEERE & CO COM 244199105 1,614,833 20,428 X 28-5284 20428 1,572,700 19,895 X X 28-5284 19220 675 41,580 526 X X 28-1500 526 DEL MONTE FOODS CO COM 24522P103 684,014 57,674 X 28-5284 57340 334 981,735 82,777 X X 28-5284 78946 3831 7,804 658 X 28-4580 658 108,673 9,163 X X 28-4580 9163 DELAWARE INV GLBL DIV & INC COM 245916101 8,988 700 X X 28-5284 700 DELL INC COM 24702R101 42,020,941 1,411,994 X 28-5284 1316455 95539 23,501,085 789,687 X X 28-5284 752878 4610 32199 221,444 7,441 X 28-1500 7441 288,107 9,681 X 28-4580 9681 509,759 17,129 X X 28-4580 17129 DELPHI FINL GROUP INC CL A 247131105 10,946 212 X X 28-5284 212 DELTA NAT GAS INC COM 247748106 69,799 2,625 X 28-5284 2625 9,307 350 X X 28-5284 350 105,988 3,986 X 28-1500 738 3248 DENBURY RES INC COM NEW 247916208 11,718 370 X 28-5284 370 222,323 7,020 X X 28-5284 7020 DELUXE CORP COM 248019101 40,904 1,563 X 28-5284 1563 9,290 355 X X 28-5284 355 DENDREON CORP COM 24823Q107 36,102 7,665 X 28-1500 7665 COLUMN TOTAL 73,076,540 FILE NO. 28-1235 PAGE 53 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: ITEM 2: CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------------- --------- ---------- --------- ------- ------ -------- ------- --------- ------- DENTSPLY INTL INC NEW COM 249030107 462,874 7,960 X X 28-5284 7960 DEUTSCHE TELEKOM AG SPONSORED ADR 251566105 2,590 154 X X 28-5284 154 111,853 6,650 X 28-11439 6650 DEVELOPERS DIVERSIFIED RLTY COM 251591103 1,648,085 30,102 X 28-5284 27592 2510 414,458 7,570 X X 28-5284 6066 490 1014 DEVON ENERGY CORP NEW COM 25179M103 560,317 9,160 X 28-5284 8126 1034 275,693 4,507 X X 28-5284 4507 97,016 1,586 X 28-1500 1586 DEXCOM INC COM 252131107 12,162 600 X 28-5284 600 DIAGEO P L C SPON ADR NEW 25243Q205 485,874 7,660 X 28-5284 1260 6400 615,905 9,710 X X 28-5284 6510 3200 451,622 7,120 X X 28-1500 7120 19,029 300 X 28-4580 300 DIAMOND OFFSHORE DRILLING IN COM 25271C102 9,657,140 107,901 X 28-5284 105061 2840 1,712,672 19,136 X X 28-5284 18321 800 15 46,540 520 X 28-4580 520 DIAMONDS TR UNIT SER 1 252787106 4,727,558 42,472 X 28-5284 42472 6,376,393 57,285 X X 28-5284 57266 19 DICKS SPORTING GOODS INC COM 253393102 91,241 2,300 X 28-5284 2000 300 35,703 900 X X 28-5284 400 500 DIEBOLD INC COM 253651103 34,647 843 X 28-5284 843 104,805 2,550 X X 28-5284 2550 173,442 4,220 X X 28-1500 4220 6,165 150 X X 28-4580 150 DIGENE CORP COM 253752109 15,014 384 X X 28-5284 384 DIGI INTL INC COM 253798102 151,360 12,970 X X 28-5284 12970 DIGITAL INSIGHT CORP COM 25385P106 6,370 175 X 28-5284 175 DIGITAL RIV INC COM 25388B104 21,805 500 X 28-5284 500 1,747,017 40,060 X X 28-5284 40060 38,900 892 X 28-1500 892 COLUMN TOTAL 30,104,250 FILE NO. 28-1235 PAGE 54 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 2: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: TITLE OF CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- ----------- --------- ----------- --------- ------- ------ -------- ------- --------- ------- DIGITAS INC COM 25388K104 4,608 320 X 28-5284 320 DIME CMNTY BANCSHARES COM 253922108 122,145 8,500 X X 28-5284 8500 DILLARDS INC CL A 254067101 13,020 500 X X 28-5284 500 DIME BANCORP *W INC NEW EXP 99/99/9 25429Q110 357 2,100 X 28-5284 2000 100 340 2,000 X X 28-5284 2000 DIODES INC COM 254543101 1,691,540 40,760 X X 28-5284 40760 DIONEX CORP COM 254546104 53,119 864 X X 28-5284 864 DIRECT GEN CORP COM 25456W204 17,010 1,000 X 28-5284 1000 DIRECTV GROUP INC COM 25459L106 553,516 33,751 X 28-5284 13830 19921 173,463 10,577 X X 28-5284 9922 493 162 4,920 300 X X 28-1500 300 148 9 X 28-4580 9 2,509 153 X X 28-4580 153 DISCOVERY LABORATORIES INC N COM 254668106 7,330 1,000 X 28-5284 1000 DISCOVERY HOLDING CO CL A COM 25468Y107 467,385 31,159 X 28-5284 7399 23760 267,300 17,820 X X 28-5284 3210 14610 44,085 2,939 X X 28-1500 2939 DISNEY WALT CO COM DISNEY 254687106 81,327,324 2,916,003 X 28-5284 2762646 153357 39,724,229 1,424,318 X X 28-5284 1373787 16925 33606 871,423 31,245 X 28-1500 11695 19550 568,900 20,398 X 28-4580 20178 220 686,094 24,600 X X 28-4580 22900 1700 DISTRIBUTED ENERGY SYS CORP COM 25475V104 6,390 900 X 28-5284 900 22,543 3,175 X 28-1500 3175 DITECH COMMUNICATIONS CORP COM 25500M103 10,450 1,000 X 28-5284 1000 DIVERSIFIED INCOME STRAT PTF COM 255251100 35,880 2,000 X 28-4580 2000 DOCUCORP INTL INC COM 255911109 1,107 134 X X 28-5284 134 DOBSON COMMUNICATIONS CORP CL A 256069105 190,876 23,800 X X 28-5284 23800 COLUMN TOTAL 126,868,011 FILE NO. 28-1235 PAGE 55 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: ITEM 2: CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------------- --------- ---------- --------- ------- ------ -------- ------- --------- ------- DOLLAR GEN CORP COM 256669102 507,111 28,699 X 28-5284 28699 164,331 9,300 X X 28-5284 9300 452,635 25,616 X 28-1500 25616 DOLLAR TREE STORES INC COM 256747106 8,965 324 X 28-5284 200 124 13,835 500 X X 28-5284 500 DOMINION RES BLACK WARRIOR T UNITS BEN INT 25746Q108 75,335 1,900 X 28-5284 1900 DOMINION RES INC VA NEW COM 25746U109 18,228,062 264,060 X 28-5284 261597 2463 24,405,902 353,555 X X 28-5284 337584 1347 14624 82,353 1,193 X X 28-1500 1193 351,777 5,096 X 28-4580 5096 821,388 11,899 X X 28-4580 10089 1810 DOMTAR INC COM 257561100 2,909 408 X X 28-5284 408 DONALDSON INC COM 257651109 1,709,706 50,598 X 28-5284 40700 9898 422,375 12,500 X X 28-5284 12500 231,799 6,860 X X 28-1500 6860 DONEGAL GROUP INC CL A 257701201 85,862 3,291 X 28-5284 3291 DONEGAL GROUP INC CL B 257701300 10,862 462 X 28-5284 462 DONNELLEY R R & SONS CO COM 257867101 598,482 18,291 X 28-5284 18291 931,473 28,468 X X 28-5284 28268 200 81,800 2,500 X X 28-1500 2500 DORAL FINL CORP COM 25811P100 1,733 150 X X 28-5284 150 51,975 4,500 X X 28-4580 4500 DORCHESTER MINERALS LP COM UNIT 25820R105 27,250 1,000 X X 28-5284 1000 27,250 1,000 X 28-4580 1000 DOVER CORP COM 260003108 13,360,556 275,135 X 28-5284 247910 27225 4,925,101 101,423 X X 28-5284 97425 3998 49,483 1,019 X 28-1500 1019 384,012 7,908 X X 28-1500 7908 155,392 3,200 X 28-4580 3200 DOVER MOTORSPORTS INC COM 260174107 1,098 200 X X 28-5284 200 COLUMN TOTAL 68,170,812 FILE NO. 28-1235 PAGE 56 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 2: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: TITLE OF CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------- --------- ----------- --------- ------- ------ -------- ------- --------- ------- DOW CHEM CO COM 260543103 33,178,807 817,212 X 28-5284 800480 16732 25,332,857 623,962 X X 28-5284 572035 4140 47787 251,720 6,200 X 28-1500 6200 159,314 3,924 X 28-4580 3924 737,824 18,173 X X 28-4580 18173 DOW JONES & CO INC COM 260561105 190,684 4,852 X 28-5284 1952 2900 521,197 13,262 X X 28-5284 12550 712 32,423 825 X X 28-4580 825 DOW 30 COVERED CALL FD INC COM 260582101 24,163 1,250 X 28-5284 1250 DREAMWORKS ANIMATION SKG INC CL A 26153C103 2,645 100 X 28-5284 100 DREMAN/ CLAYMORE DIVID & INC COM 26153R100 10,066 536 X X 28-5284 536 DRESS BARN INC COM 261570105 684,247 14,270 X X 28-5284 14270 DREW INDS INC COM NEW 26168L205 7,110 200 X X 28-5284 200 DREYFUS STRATEGIC MUNS INC COM 261932107 26,640 3,000 X 28-5284 3000 44,400 5,000 X X 28-5284 5000 DREYFUS STRATEGIC MUN BD FD COM 26202F107 61,740 7,000 X 28-5284 7000 117,227 13,291 X X 28-5284 13291 DU PONT E I DE NEMOURS & CO COM 263534109 55,147,660 1,306,507 X 28-5284 1286111 20396 81,708,261 1,935,756 X X 28-5284 1760893 3150 171713 198,387 4,700 X X 28-1500 4700 9,682,467 229,388 X 28-4580 229388 32,277,649 764,692 X X 28-4580 759238 5454 DUFF & PHELPS UTIL CORP BD T COM 26432K108 24,300 2,000 X X 28-5284 2000 DUKE ENERGY CORP COM 264399106 7,842,370 269,035 X 28-5284 266135 2900 7,309,625 250,759 X X 28-5284 220959 29800 63,984 2,195 X 28-4580 2195 58,300 2,000 X X 28-4580 2000 COLUMN TOTAL 255,696,067 FILE NO. 28-1235 PAGE 57 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: ITEM 2: CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------------- --------- ----------- --------- ------- ------ -------- ------- --------- ------- DUKE REALTY CORP COM NEW 264411505 5,701,418 150,235 X 28-5284 148285 1950 9,575,089 252,308 X X 28-5284 206633 500 45175 37,950 1,000 X X 28-1500 1000 98,670 2,600 X 28-4580 2600 117,645 3,100 X X 28-4580 3100 DUN & BRADSTREET CORP DEL NE COM 26483E100 960,417 12,525 X 28-5284 10255 2270 336,549 4,389 X X 28-5284 4239 150 2,448,622 31,933 X X 28-4580 31933 DUQUESNE LT HLDGS INC COM 266233105 80,669 4,889 X 28-5284 4289 600 283,833 17,202 X X 28-5284 15902 1300 49,500 3,000 X 28-4580 3000 DYCOM INDS INC COM 267475101 21,250 1,000 X 28-5284 1000 DYNAVAX TECHNOLOGIES CORP COM 268158102 1,206 200 X X 28-5284 200 DYNEGY INC NEW CL A 26816Q101 36,480 7,600 X 28-5284 7600 2,880 600 X X 28-5284 600 EFJ INC COM 26843B101 84,356 7,818 X X 28-5284 7818 E M C CORP MASS COM 268648102 35,898,994 2,633,822 X 28-5284 2576547 57275 9,296,478 682,060 X X 28-5284 640534 15410 26116 373,503 27,403 X 28-1500 2663 24740 68,150 5,000 X 28-11439 5000 715,084 52,464 X 28-4580 51712 752 356,302 26,141 X X 28-4580 26141 EMS TECHNOLOGIES INC COM 26873N108 36,060 2,000 X 28-5284 2000 ENSCO INTL INC COM 26874Q100 2,422,472 47,084 X 28-5284 44309 2775 1,300,759 25,282 X X 28-5284 24082 1200 1,235 24 X X 28-1500 24 ENI S P A SPONSORED ADR 26874R108 98,291 1,725 X 28-5284 1725 56,980 1,000 X X 28-5284 1000 EOG RES INC COM 26875P101 42,757,632 593,856 X 28-5284 587374 6482 17,396,640 241,620 X X 28-5284 231246 2800 7574 872,856 12,123 X 28-4580 12123 236,880 3,290 X X 28-4580 3290 COLUMN TOTAL 131,724,850 FILE NO. 28-1235 PAGE 58 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: ITEM 2: CUSIP 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 ON AG SPONSORED ADR 268780103 2,745 75 X 28-5284 75 EPIQ SYS INC COM 26882D109 19,000 1,000 X X 28-5284 1000 ESB FINL CORP COM 26884F102 57,816 4,818 X X 28-5284 4818 E TRADE FINANCIAL CORP COM 269246104 45,866 1,700 X 28-5284 1700 53,960 2,000 X X 28-5284 2000 269,800 10,000 X X 28-1500 10000 EAGLE HOSPITALITY PPTY TR IN COM 26959T102 6,048 600 X 28-5284 600 EAGLE MATERIALS INC COM 26969P108 38,256 600 X 28-5284 600 43,803 687 X X 28-5284 675 12 EAGLE MATERIALS INC CL B 26969P207 58,176 912 X X 28-5284 912 EASTERN AMERN NAT GAS TR SPERS RCT UNIT 276217106 82,170 3,000 X X 28-5284 3000 EASTGROUP PPTY INC COM 277276101 65,230 1,375 X 28-5284 1375 EASTMAN CHEM CO COM 277432100 141,717 2,769 X 28-5284 2160 609 294,592 5,756 X X 28-5284 5756 58,243 1,138 X X 28-1500 1138 15,354 300 X 28-4580 300 EASTMAN KODAK CO COM 277461109 418,324 14,709 X 28-5284 12159 2550 753,603 26,498 X X 28-5284 22398 100 4000 33,417 1,175 X X 28-1500 1175 9 622,836 21,900 X 28-1143 21900 103,237 3,630 X X 28-4580 3630 EATON CORP COM 278058102 1,043,471 14,300 X 28-5284 14300 2,344,526 32,130 X X 28-5284 32130 1,090,318 14,942 X X 28-1500 14942 EATON VANCE OH MUNI INCOME T SH BEN INT 27826G109 40,493 2,783 X 28-5284 2783 EATON VANCE PA MUNI INCOME T SH BEN INT 27826T101 23,552 1,600 X 28-5284 1600 EATON VANCE NJ MUNI INCOME T SH BEN INT 27826V106 26,635 1,750 X 28-5284 1750 EATON VANCE CORP COM NON VTG 278265103 861,211 31,454 X X 28-5284 31410 44 COLUMN TOTAL 8,614,399 FILE NO. 28-1235 PAGE 59 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 2: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: TITLE OF CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------- --------- --------- --------- ------- ------ -------- ------- --------- ------- EATON VANCE INS MUN BD FD COM 27827X101 78,725 5,316 X 28-5284 5316 173,206 11,696 X X 28-5284 4666 7030 EATON VANCE ENHANCED EQ INC COM 278274105 20,190 1,028 X 28-5284 1028 49,355 2,513 X X 28-5284 2513 EATON VANCE ENH EQTY INC FD COM 278277108 660 35 X X 28-1500 35 EATON VANCE FLTING RATE INC COM 278279104 46,104 2,550 X 28-5284 2550 62,051 3,432 X X 28-5284 3432 9,040 500 X X 28-1500 500 EATON VANCE TAX ADVT DIV INC COM 27828G107 119,550 5,000 X 28-5284 5000 EATON VANCE LTD DUR INCOME F COM 27828H105 108,000 6,250 X 28-5284 6250 17,280 1,000 X X 28-5284 1000 EATON VANCE INS NJ MUN BD FD COM 27828R103 80,070 5,100 X 28-5284 5100 163,123 10,390 X X 28-5284 10390 EATON VANCE TX ADV GLBL DIV COM 27828S101 43,300 2,000 X 28-5284 2000 238,150 11,000 X X 28-5284 11000 EATON VANCE INS PA MUN BD FD COM 27828W102 14,810 1,000 X 28-5284 1000 92,370 6,237 X X 28-5284 6237 EATON VANCE TX MNG BY WRT OP COM 27828Y108 18,700 1,000 X X 28-5284 1000 EATON VANCE TXMGD GL BUYWR O COM 27829C105 52,574 2,900 X 28-5284 2900 906,450 50,000 X X 28-5284 50000 60,370 3,330 X X 28-1500 3330 EBAY INC COM 278642103 844,623 21,657 X 28-5284 21657 672,945 17,255 X X 28-5284 17255 3,595,800 92,200 X 28-11439 92200 3,705 95 X X 28-4580 21 74 ECHOSTAR COMMUNICATIONS NEW CL A 278762109 20,909 700 X 28-5284 700 2,091 70 X X 28-5284 70 ECLIPSYS CORP COM 278856109 234,778 9,944 X 28-5284 9944 COLUMN TOTAL 7,728,929 FILE NO. 28-1235 PAGE 60 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: ITEM 2: CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------------- --------- ---------- --------- ------- ------ -------- ------- --------- ------- ECOLAB INC COM 278865100 5,747,037 150,446 X 28-5284 117096 33350 2,216,899 58,034 X X 28-5284 56734 1300 11,727 307 X X 28-1500 307 52,487 1,374 X X 28-4580 1374 ECOLLEGE COM COM 27887E100 804,468 42,700 X X 28-5284 42700 EDISON INTL COM 281020107 1,461,066 35,480 X 28-5284 31815 3665 283,236 6,878 X X 28-5284 4760 2118 EDUCATION MGMT CORP COM 28139T101 1,347,882 32,401 X 28-5284 32401 EDWARDS LIFESCIENCES CORP COM 28176E108 80,040 1,840 X 28-5284 1483 357 16,574 381 X X 28-5284 381 4,350 100 X X 28-1500 100 EDWARDS AG INC COM 281760108 49,860 1,000 X X 28-5284 1000 EL PASO CORP COM 28336L109 176,629 14,658 X 28-5284 14658 170,688 14,165 X X 28-5284 14165 12,050 1,000 X X 28-1500 1000 ELAN PLC ADR 284131208 46,713 3,235 X 28-5284 3235 380,263 26,334 X X 28-5284 26334 ELDORADO GOLD CORP NEW COM 284902103 21,510 4,500 X 28-5284 4500 ELECTRONIC ARTS INC COM 285512109 5,799,171 105,979 X 28-5284 105279 700 3,228,042 58,992 X X 28-5284 55682 850 2460 13,352 244 X 28-1500 244 98,496 1,800 X 28-4580 1800 24,624 450 X X 28-4580 450 ELECTRONIC DATA SYS NEW COM 285661104 273,773 10,204 X 28-5284 10204 1,103,813 41,141 X X 28-5284 37391 3750 3,756 140 X 28-4580 140 11,134 415 X X 28-4580 415 EMBRAER- EMPRESA BRASILEIRA D SP ADR PFD SHS 29081M102 79,596 2,160 X 28-5284 2160 73,700 2,000 X X 28-5284 2000 EMDEON CORP COM 290849108 10,800 1,000 X 28-5284 1000 COLUMN TOTAL 23,603,736 FILE NO. 28-1235 PAGE 61 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: ITEM 2: CUSIP 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 55,216,875 660,252 X 28-5284 641904 18348 56,115,061 670,992 X X 28-5284 641366 3500 26126 292,203 3,494 X 28-1500 3494 450,682 5,389 X 28-4580 5389 2,509,235 30,004 X X 28-4580 29204 800 EMPIRE DIST ELEC CO COM 291641108 6,666 300 X 28-5284 300 EMULEX CORP COM NEW 292475209 18,457 1,080 X 28-5284 1080 12,818 750 X X 28-5284 750 ENBRIDGE INC COM 29250N105 14,435 500 X X 28-5284 500 ENBRIDGE ENERGY PARTNERS L P COM 29250R106 365,988 8,375 X 28-5284 4490 3885 691,596 15,826 X X 28-5284 15500 326 ENCANA CORP COM 292505104 446,505 9,555 X 28-5284 9555 857,963 18,360 X X 28-5284 11360 7000 7,337 157 X X 28-4580 48 109 ENCORE ACQUISITION CO COM 29255W100 48,360 1,560 X 28-5284 1560 ENCORE WIRE CORP COM 292562105 10,164 300 X 28-5284 300 ENDESA S A SPONSORED ADR 29258N107 64,300 2,000 X 28-5284 2000 ENERGEN CORP COM 29265N108 4,375 125 X 28-5284 125 21,560 616 X X 28-5284 616 ENEL SOCIETA PER AZIONI ADR 29265W108 6,336 150 X 28-5284 150 ENERGY CONVERSION DEVICES IN COM 292659109 4,918 100 X 28-5284 100 24,590 500 X X 28-5284 500 227,605 4,628 X X 28-1500 4628 ENERGY EAST CORP COM 29266M109 75,889 3,123 X 28-5284 3123 369,384 15,201 X X 28-5284 15201 ENERGIZER HLDGS INC COM 29266R108 21,200 400 X 28-5284 400 435,501 8,217 X X 28-5284 8217 ENERGY PARTNERS LTD COM 29270U105 3,537 150 X 28-5284 150 COLUMN TOTAL 118,323,540 FILE NO. 28-1235 PAGE 62 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: ITEM 2: CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------------- --------- ---------- --------- ------- ------ -------- ------- --------- ------- ENERGY TRANSFER PRTNRS L P UNIT LTD PARTN 29273R109 58,185 1,500 X 28-5284 1500 62,064 1,600 X X 28-5284 1600 ENERPLUS RES FD UNIT TR G NEW 29274D604 156,364 3,100 X 28-5284 3100 1,377,012 27,300 X X 28-5284 27300 10,492 208 X X 28-4580 42 166 ENGELHARD CORP COM 292845104 138,635 3,500 X 28-5284 1000 2500 89,123 2,250 X X 28-5284 950 1300 146,557 3,700 X X 28-1500 3700 ENERGYSOUTH INC COM 292970100 26,243 825 X X 28-5284 825 ENHANCED EQUITY YLD FD INC COM 29332H100 24,336 1,319 X X 28-1500 1319 ENHANCED GOVT FD INC COM 29332K103 10,830 603 X X 28-1500 603 ENNIS INC COM 293389102 23,400 1,200 X 28-5284 1200 ENSTAR GROUP INC GA COM 29358R107 134,610 1,500 X 28-5284 1500 ENTEGRIS INC COM 29362U104 6,001 564 X 28-5284 564 23,323 2,192 X X 28-5284 2192 ENTERCOM COMMUNICATIONS CORP CL A 293639100 8,376 300 X X 28-5284 300 103,639 3,712 X X 28-1500 3712 ENTERGY CORP NEW COM 29364G103 6,439,203 93,403 X 28-5284 93103 300 4,985,603 72,318 X X 28-5284 63548 150 8620 148,221 2,150 X 28-4580 2150 89,208 1,294 X X 28-4580 710 584 ENTERPRISE PRODS PARTNERS L COM 293792107 206,186 8,351 X 28-5284 3551 4800 292,354 11,841 X X 28-5284 11841 8,938 362 X X 28-4580 362 ENTERTAINMENT PPTYS TR COM SH BEN INT 29380T105 504 12 X X 28-5284 12 ENTERRA ENERGY TR TR UNIT 29381P102 8,938 650 X 28-5284 650 4,813 350 X X 28-5284 350 COLUMN TOTAL 14,583,158 FILE NO. 28-1235 PAGE 65 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 2: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: TITLE OF CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- ---------- --------- ---------- --------- ------- ------ -------- ------- --------- ------- EQUIFAX INC COM 294429105 1,642,656 44,110 X 28-5284 44110 333,745 8,962 X X 28-5284 7462 1500 51,950 1,395 X 28-1500 1395 EQUINIX INC COM NEW 29444U502 186,238 2,900 X 28-5284 2900 EQUITABLE RES INC COM 294549100 2,391,259 65,496 X 28-5284 64180 1316 2,268,074 62,122 X X 28-5284 62122 103,542 2,836 X X 28-4580 2836 EQUITY INCOME FD UT 1 EX SR- ATT 294700703 266,592 3,092 X 28-5284 3092 25,866 300 X X 28-5284 100 200 EQUITY INNS INC COM 294703103 16,200 1,000 X 28-5284 1000 EQUITY OFFICE PROPERTIES TRU COM 294741103 53,929 1,606 X 28-5284 1606 1,918,929 57,145 X X 28-5284 54845 2300 EQUITY ONE COM 294752100 237,397 9,666 X X 28-5284 9666 EQUITY RESIDENTIAL SH BEN INT 29476L107 11,651 249 X 28-5284 249 319,810 6,835 X X 28-5284 4525 2310 EQUITY RESIDENTIAL PFD CONV E 7% 29476L883 15,300 300 X X 28-5284 300 ERESEARCHTECHNOLOGY INC COM 29481V108 3,598 250 X 28-1500 250 ERICSSON L M TEL CO ADR B SEK 10 294821608 313,604 8,314 X 28-5284 8314 3,772 100 X X 28-5284 100 ERIE INDTY CO CL A 29530P102 9,821,413 186,577 X 28-5284 186577 25,748,277 489,139 X X 28-5284 489139 ESCALADE INC COM 296056104 398,497 35,933 X 28-1500 35933 ESCO TECHNOLOGIES INC COM 296315104 20,260 400 X X 28-5284 400 ESSEX CORP COM 296744105 48,444 2,200 X X 28-1500 2200 ESSEX PPTY TR INC COM 297178105 5,437 50 X X 28-5284 50 ETABLISSEMENTS SPONSORED DELHAIZE FRER ADR 29759W101 23,881 334 X 28-5284 334 COLUMN TOTAL 46,230,321 FILE NO. 28-1235 PAGE 64 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 5: DISCRETION ITEM 8: ITEM 3: ITEM 4: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: ITEM 2: CUSIP MARKET PRINCIPAL -------------- MANAGERS -------------------------- NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------------- --------- ------------- ---------- ------- ------ -------- -------- --------- ------- ETHAN ALLEN INTERIORS INC COM 297602104 186,611 4,441 X 28-5284 4441 8,404 200 X X 28-5284 200 50,424 1,200 X X 28-4580 1200 EVERGREEN INCOME ADVANTAGE F COM SHS 30023Y105 49,105 3,500 X 28-5284 3500 EVERGREEN MANAGED INCOME FD COM SHS 30024Y104 64,880 4,000 X X 28-5284 4000 EVERGREEN SOLAR INC COM 30033R108 14,984 973 X 28-5284 973 15,400 1,000 X X 28-5284 1000 EVERGREEN UTLS & HIGH INCM F COM 30034Q109 16,912 797 X 28-5284 797 EXACT SCIENCES CORP COM 30063P105 1,535 500 X 28-5284 500 EXELON CORP COM 30161N101 54,391,886 1,028,202 X 28-5284 1009443 18759 29,852,845 564,326 X X 28-5284 516548 6440 41338 275,080 5,200 X 28-1500 5200 1,566,157 29,606 X 28-4580 29061 545 1,016,421 19,214 X X 28-4580 19104 110 EXPEDIA INC DEL COM 30212P105 10,135 500 X 28-5284 500 3,041 150 X X 28-5284 150 81,080 4,000 X X 28-1500 4000 EXPEDIA INC DEL *W EXP 02/04/2 30212P121 475 50 X X 28-5284 50 EXPEDITORS INTL WASH INC COM 302130109 8,639 100 X 28-5284 100 69,112 800 X X 28-5284 800 EXPRESS SCRIPTS INC COM 302182100 1,961,752 22,318 X 28-5284 21318 1000 343,601 3,909 X X 28-5284 2409 1500 EZCORP INC CL A NON VTG 302301106 169,032 5,726 X 28-5284 5726 EXXON MOBIL CORP COM 30231G102 649,585,376 10,673,437 X 28-5284 10328709 344728 1,029,557,970 16,916,825 X X 28-5284 9106673 48414 7761738 2,426,975 39,878 X 28-1500 145 39733 15,782,580 259,326 X 28-4580 258516 810 55,499,695 911,924 X X 28-4580 904741 7183 FBL FINL GROUP INC CL A 30239F106 37,895 1,100 X 28-5284 1100 COLUMN TOTAL 1,843,048,002 FILE NO. 28-1235 PAGE 65 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 2: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: TITLE OF CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------- --------- ---------- --------- ------- ------ -------- ------- --------- ------- FEI CO COM 30241L109 9,925 500 X 28-5284 500 11,870 598 X 28-1500 598 FLIR SYS INC COM 302445101 27,274 960 X 28-5284 960 9,745 343 X X 28-5284 298 45 FMC TECHNOLOGIES INC COM 30249U101 35,905 701 X 28-5284 701 21,205 414 X X 28-5284 414 F M C CORP COM NEW 302491303 27,643 446 X 28-5284 446 7,748 125 X X 28-5284 125 107,473 1,734 X X 28-1500 1734 FMS FINL CORP COM 302509104 760,000 40,000 X X 28-5284 40000 FNB CORP PA COM 302520101 435,554 25,471 X 28-5284 24969 502 261,904 15,316 X X 28-5284 5420 5000 4896 FNB FINANCIAL SERVICES CORP COM 302526108 3,213,708 200,231 X 28-1500 200231 FPL GROUP INC COM 302571104 34,911,564 869,745 X 28-5284 864191 5554 35,442,697 882,977 X X 28-5284 805729 3740 73508 95,694 2,384 X 28-1500 2384 499,422 12,442 X 28-4580 12442 1,263,206 31,470 X X 28-4580 29616 1854 F N B CORP VA COM 302930102 1,277,648 37,600 X 28-1500 37600 FACTSET RESH SYS INC COM 303075105 64,308 1,450 X 28-5284 1450 26,610 600 X X 28-5284 600 FAIR ISAAC CORP COM 303250104 7,924 200 X 28-5284 200 12,877 325 X X 28-5284 325 FAIRCHILD SEMICONDUCTOR INTL COM 303726103 36,233 1,900 X 28-5284 1900 22,884 1,200 X X 28-5284 1200 FAIRMONT HOTELS RESORTS INC COM 305204109 14,751 330 X 28-5284 330 44,700 1,000 X X 28-5284 1000 FALCONBRIDGE LTD NEW 2005 COM 306104100 42,726 1,219 X 28-5284 1219 105,150 3,000 X X 28-5284 3000 COLUMN TOTAL 78,798,348 FILE NO. 28-1235 PAGE 66 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: ITEM 2: CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------------- --------- ----------- --------- ------- ------ -------- ------- --------- ------- FAMILY DLR STORES INC COM 307000109 111,294 4,184 X 28-5284 3134 1050 215,460 8,100 X X 28-5284 8100 7,980 300 X X 28-1500 300 FAMOUS DAVES AMER INC COM 307068106 7,183 550 X 28-1500 550 FARGO ELECTRONICS INC COM 30744P102 158,227 9,357 X X 28-5284 9357 FARMERS CAP BK CORP COM 309562106 120,156 3,800 X 28-5284 3800 44,268 1,400 X 28-1500 1400 FASTENAL CO COM 311900104 156,222 3,300 X 28-5284 3300 FEDERAL HOME LN MTG CORP COM 313400301 39,866,062 653,542 X 28-5284 589522 64020 10,314,185 169,085 X X 28-5284 163685 2270 3130 861,625 14,125 X 28-1500 5240 8885 170,190 2,790 X 28-4580 2790 103,700 1,700 X X 28-4580 1700 FEDERAL NATL MTG ASSN COM 313586109 25,959,878 505,056 X 28-5284 501587 3469 18,758,224 364,946 X X 28-5284 347546 1210 16190 39,527 769 X X 28-1500 769 182,470 3,550 X 28-4580 3550 149,060 2,900 X X 28-4580 2900 FEDERAL REALTY INVT TR SH BEN INT NEW 313747206 815,920 10,850 X 28-5284 10850 2,317,814 30,822 X X 28-5284 30822 FEDERATED DEPT STORES INC DE COM 31410H101 17,219,313 235,881 X 28-5284 230161 5720 5,211,397 71,389 X X 28-5284 66145 1200 4044 492,896 6,752 X 28-4580 6487 265 79,278 1,086 X X 28-4580 1086 FEDERATED INVS INC PA CL B 314211103 39,050 1,000 X X 28-1500 1000 FEDERATED PREM MUN INC FD COM 31423P108 277,376 18,566 X 28-5284 18566 FEDEX CORP COM 31428X106 22,993,568 203,591 X 28-5284 198651 4940 5,226,750 46,279 X X 28-5284 43531 1000 1748 28,235 250 X 28-1500 250 864,556 7,655 X 28-4580 7443 212 97,580 864 X X 28-4580 849 15 COLUMN TOTAL 152,889,444 FILE NO. 28-1235 PAGE 67 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: ITEM 2: CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------------- --------- ----------- --------- ------- ------ -------- ------- --------- ------- FERRELLGAS PARTNERS L.P. UNIT LTD PART 315293100 39,124 1,842 X 28-5284 1842 25,488 1,200 X X 28-5284 1200 84,960 4,000 X 28-4580 4000 FIDELITY NATL INFORMATION SV COM 31620M106 700,582 17,277 X 28-5284 17277 60,825 1,500 X X 28-5284 1500 FIDELITY NATL TITLE GROUP IN CL A 31620R105 1,708 75 X 28-5284 75 628,907 27,620 X X 28-5284 26971 649 FIDELITY NATL FINL INC COM 316326107 211,759 5,960 X 28-5284 5960 6,197,214 174,422 X X 28-5284 170710 3712 FIDUCIARY CLAYMORE MLP OPP F COM 31647Q106 130,200 7,000 X 28-5284 7000 FIELDSTONE INVT CORP COM 31659U300 11,800 1,000 X X 28-5284 1000 FIFTH THIRD BANCORP COM 316773100 32,082,454 815,103 X 28-5284 793360 21743 3,493,318 88,753 X X 28-5284 70169 2964 15620 789,129 20,049 X 28-1500 4592 15457 11,808 300 X X 28-4580 300 FINISH LINE INC CL A 317923100 8,225 500 X 28-5284 500 208,175 12,655 X 28-1500 1050 11605 FIRST AMERN CORP CALIF COM 318522307 184,052 4,700 X 28-5284 1200 3500 FIRST BANCORP N C COM 318910106 20,903 934 X 28-5284 934 FIRST COMWLTH FINL CORP PA COM 319829107 260,215 17,750 X 28-5284 17750 517,425 35,295 X X 28-5284 30745 4550 FIRST CONSULTING GROUP INC COM 31986R103 29,560 4,000 X 28-5284 4000 FIRST DATA CORP COM 319963104 57,714,031 1,232,679 X 28-5284 1158059 74620 16,072,697 343,287 X X 28-5284 335622 2442 5223 787,747 16,825 X 28-1500 7475 9350 28,092 600 X 28-4580 600 81,092 1,732 X X 28-4580 1732 FIRST FINL BANCORP OH COM 320209109 232,960 14,000 X X 28-5284 14000 FIRST FINL CORP IND COM 320218100 2,682 90 X 28-1500 90 COLUMN TOTAL 120,617,132 FILE NO. 28-1235 PAGE 68 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 2: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: TITLE OF CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------- --------- --------- --------- ------- ------ -------- ------- --------- ------- FIRST FINL SVC CORP COM 32022D108 505,481 16,855 X 28-5284 16855 2,369 79 X 28-1500 79 FIRST FINL HLDGS INC COM 320239106 57,060 1,800 X 28-5284 900 900 41,210 1,300 X X 28-5284 1300 FIRST FRANKLIN CORP COM 320272107 545,398 32,600 X 28-5284 32600 FIRST HORIZON PHARMACEUTICAL COM 32051K106 12,605 500 X 28-5284 500 FIRST HORIZON NATL CORP COM 320517105 1,224,510 29,400 X 28-5284 29400 195,755 4,700 X X 28-5284 2700 2000 74,595 1,791 X X 28-1500 1791 1ST INDEPENDENCE FINL GRP IN COM 32053S107 26,341 1,484 X 28-5284 1484 FIRST INDUSTRIAL REALTY TRUS COM 32054K103 66,170 1,550 X 28-5284 1550 59,766 1,400 X X 28-5284 1400 FIRST ISRAEL FD INC COM 32063L100 8,050 500 X 28-5284 500 FIRST MARBLEHEAD CORP COM 320771108 1,301,825 30,100 X X 28-5284 30100 FIRST NIAGARA FINL GP INC COM 33582V108 98,222 6,700 X 28-5284 3900 2800 57,174 3,900 X X 28-5284 3900 FIRST POTOMAC RLTY TR COM 33610F109 21,188 750 X 28-5284 750 12,797 453 X X 28-1500 453 FIRST PL FINL CORP COM 33610T109 11,160 450 X X 28-5284 450 FIRST REP BK SAN FRANCISCO COM 336158100 153,171 4,050 X 28-5284 4050 FIRST ST FINL CORP FLA COM 33708M206 14,746 928 X 28-1500 928 FIRST TR VALUE LINE DIV FD COM SHS 33735A100 105,574 7,246 X 28-5284 7246 FIRST W VA BANCORP INC COM 337493100 19,342 1,018 X 28-5284 1018 FISERV INC COM 337738108 3,936,386 92,512 X 28-5284 88512 4000 395,375 9,292 X X 28-5284 5992 3300 COLUMN TOTAL 8,946,270 FILE NO. 28-1235 PAGE 69 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: ITEM 2: CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------------- --------- --------- --------- ------- ------ -------- ------- --------- ------- FIRSTFED FINL CORP COM 337907109 83,734 1,400 X 28-5284 400 1000 23,924 400 X X 28-5284 400 FIRSTMERIT CORP COM 337915102 444 18 X X 28-5284 18 FLAGSTAR BANCORP INC COM 337930101 90,600 6,000 X 28-5284 6000 FIRSTENERGY CORP COM 337932107 466,653 9,543 X 28-5284 8943 600 757,510 15,491 X X 28-5284 13460 2031 20,783 425 X X 28-1500 425 14,670 300 X 28-4580 300 FISHER SCIENTIFIC INTL INC COM NEW 338032204 140,183 2,060 X 28-5284 160 1900 285,538 4,196 X X 28-5284 2876 1320 3,403 50 X X 28-1500 50 FIVE STAR QUALITY CARE INC COM 33832D106 54 5 X 28-5284 5 FLAHERTY & CRMN/ CLYMR PFD SE COM SHS 338478100 113,313 5,720 X X 28-5284 5720 FLAHERTY & CRUMRINE PFD INC COM 33848E106 46,482 4,056 X 28-5284 4056 FLAHERTY & CRUMRINE PFD INC COM 338480106 14,472 900 X X 28-5284 900 FLORIDA EAST COAST INDS COM 340632108 5,390 100 X 28-5284 100 64,680 1,200 X X 28-5284 1200 FLORIDA ROCK INDS INC COM 341140101 52,678 937 X 28-5284 937 2,782,159 49,487 X X 28-5284 49487 FLUOR CORP NEW COM 343412102 239,296 2,789 X 28-5284 2789 495,838 5,779 X X 28-5284 5229 550 257,400 3,000 X X 28-1500 3000 FLOWSERVE CORP COM 34354P105 2,042 35 X 28-5284 35 FOCUS MEDIA HLDG LTD SPONSORED ADR 34415V109 11,604 200 X 28-5284 200 FOOT LOCKER INC COM 344849104 1,125,942 47,150 X X 28-5284 23650 23500 COLUMN TOTAL 7,098,792 FILE NO. 28-1235 PAGE 70 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 2: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: TITLE OF CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- ------------ --------- ----------- --------- ------- ------ -------- ------- --------- ------- FORD MTR CO DEL COM PAR $0.01 345370860 397,554 49,944 X 28-5284 49595 349 622,552 78,210 X X 28-5284 75488 100 2622 7,960 1,000 X 28-1500 1000 444,964 55,900 X 28-11439 55900 16,971 2,132 X 28-4580 2132 19,900 2,500 X X 28-4580 1500 1000 FORD MTR CO CAP TR II PFD TR CV6.5% 345395206 6,010 200 X 28-5284 200 8,414 280 X X 28-5284 280 FORDING CDN COAL TR TR UNIT 345425102 56,035 1,475 X 28-5284 1475 399,655 10,520 X X 28-5284 6020 4500 9,498 250 X X 28-1500 250 86,617 2,280 X X 28-4580 2280 FOREST CITY ENTERPRISES INC CL A 345550107 75,440 1,600 X X 28-5284 1600 FOREST LABS INC COM 345838106 571,264 12,800 X 28-5284 12300 500 258,095 5,783 X X 28-5284 5783 10,711 240 X X 28-4580 240 FOREST OIL CORP COM PAR $0.01 346091705 11,154 300 X X 28-5284 300 11,154 300 X X 28-1500 300 FORTUNE BRANDS INC COM 349631101 47,018,336 583,137 X 28-5284 567053 16084 51,403,721 637,526 X X 28-5284 534001 2510 101015 282,528 3,504 X 28-1500 3504 568,280 7,048 X 28-4580 7048 496,681 6,160 X X 28-4580 6160 FORTUNE BRANDS INC PFD CV $2.67 349631200 53,000 100 X 28-5284 100 FOSSIL INC COM 349882100 22,296 1,200 X 28-1500 1200 FOUNDATION COAL HLDGS INC COM 35039W100 20,570 500 X 28-5284 500 32,912 800 X X 28-5284 800 FOUNDRY NETWORKS INC COM 35063R100 16,344 900 X 28-5284 900 FOUR SEASONS HOTEL INC LTD VTG SH 35100E104 12,675 250 X X 28-5284 250 FRANKLIN CR MGMT CORP COM NEW 353487200 2,490 300 X 28-5284 300 COLUMN TOTAL 102,943,781 FILE NO. 28-1235 PAGE 71 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: ITEM 2: CUSIP 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 RES INC COM 354613101 24,149,754 256,258 X 28-5284 247753 8505 7,546,551 80,078 X X 28-5284 75537 1660 2881 47,120 500 X X 28-1500 500 447,734 4,751 X 28-4580 4671 80 49,005 520 X X 28-4580 520 FREEPORT- MCMORAN COPPER & GO CL B 35671D857 255,696 4,278 X 28-5284 4278 242,547 4,058 X X 28-5284 3192 866 4,961 83 X X 28-1500 83 373,622 6,251 X X 28-4580 6251 FREESCALE SEMICONDUCTOR INC COM CL A 35687M107 139 5 X X 28-5284 5 FREESCALE SEMICONDUCTOR INC CL B 35687M206 288,864 10,402 X 28-5284 10402 877,254 31,590 X X 28-5284 31590 916 33 X X 28-1500 33 361 13 X 28-4580 13 1,194 43 X X 28-4580 43 FREMONT GEN CORP COM 357288109 10,780 500 X 28-5284 500 21,560 1,000 X X 28-5284 1000 11,083,996 514,100 X 28-1500 514100 FRESENIUS MED CARE AG SPONSORED ADR 358029106 22,475 564 X X 28-5284 564 FRIEDMAN BILLINGS RAMSEY GRO CL A 358434108 27,202 2,900 X 28-5284 2900 178,220 19,000 X X 28-5284 3000 16000 FRONTIER OIL CORP COM 35914P105 1,365,644 23,010 X X 28-5284 23010 FUELCELL ENERGY INC COM 35952H106 6,159 537 X 28-5284 537 29,822 2,600 X X 28-5284 2600 FUEL-TECH N V COM 359523107 1,599 100 X 28-5284 100 FULTON FINL CORP PA COM 360271100 249,444 14,511 X 28-5284 13564 947 2,975,125 173,073 X X 28-5284 167177 5896 47,376 2,756 X 28-4580 2756 G & K SVCS INC CL A 361268105 42,540 1,000 X 28-5284 1000 127,620 3,000 X X 28-5284 3000 COLUMN TOTAL 50,475,280 FILE NO. 28-1235 PAGE 72 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: ITEM 2: CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------------- --------- ---------- --------- ------- ------ -------- ------- --------- ------- GATX CORP COM 361448103 10,323 250 X 28-5284 250 19,159 464 X X 28-5284 464 GEO GROUP INC COM 36159R103 43,342 1,300 X 28-5284 1300 GFI GROUP INC COM 361652209 5,191 100 X X 28-5284 100 GMH CMNTYS TR COM 36188G102 46,560 4,000 X 28-5284 4000 GABELLI GLOBAL MULTIMEDIA TR COM 36239Q109 11,812 1,138 X 28-5284 1138 GABELLI EQUITY TR INC COM 362397101 221,232 26,058 X 28-5284 26058 19,892 2,343 X X 28-5284 2343 GABELLI UTIL TR COM 36240A101 11,159 1,229 X 28-5284 1229 GABELLI DIVD & INCOME TR COM 36242H104 11,040 600 X X 28-1500 600 36,800 2,000 X 28-4580 2000 GALLAGHER ARTHUR J & CO COM 363576109 119,583 4,300 X 28-5284 4300 16,686 600 X X 28-5284 600 GALLAHER GROUP PLC SPONSORED ADR 363595109 2,337,397 40,196 X 28-5284 35480 4716 10,697,856 183,970 X X 28-5284 183250 720 66,989 1,152 X 28-4580 1152 GAMESTOP CORP NEW CL A 36467W109 23,570 500 X 28-5284 500 GAMESTOP CORP NEW CL B 36467W208 5,502 127 X 28-5284 127 223,748 5,165 X X 28-5284 5165 GANNETT INC COM 364730101 28,275,589 471,889 X 28-5284 456574 15315 12,223,860 204,003 X X 28-5284 195793 900 7310 151,538 2,529 X 28-1500 2529 307,509 5,132 X X 28-1500 5132 152,796 2,550 X 28-4580 2550 623,887 10,412 X X 28-4580 10412 GAP INC DEL COM 364760108 38,014 2,035 X 28-5284 2035 125,100 6,697 X X 28-5284 3797 2900 GARDNER DENVER INC COM 365558105 8,802 135 X 28-5284 135 17,604 270 X X 28-5284 270 COLUMN TOTAL 55,852,540 FILE NO. 28-1235 PAGE 73 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 5: DISCRETION ITEM 8: ITEM 2: ITEM 3: ITEM 4: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: TITLE OF CUSIP MARKET PRINCIPAL -------------- MANAGERS -------------------------- NAME OF ISSUER CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------- --------- ------------- ---------- ------- ------ -------- -------- --------- ------- GARTNER INC COM 366651107 3,613 259 X X 28-5284 259 3,864 277 X X 28-4580 277 GASTAR EXPL LTD COM 367299104 2,130 500 X X 28-5284 500 GATEWAY INC COM 367626108 63,948 29,200 X 28-5284 29200 GEN-PROBE INC NEW COM 36866T103 33,072 600 X X 28-5284 600 GEMSTAR-TV GUIDE INTL INC COM 36866W106 3,060 1,000 X X 28-5284 1000 GENAERA CORP COM 36867G100 16,800 12,000 X 28-5284 12000 GENENTECH INC COM NEW 368710406 500,975 5,928 X 28-5284 5928 775,295 9,174 X X 28-5284 6974 2200 253,530 3,000 X X 28-1500 3000 67,608 800 X X 28-4580 800 GENERAL AMERN INVS INC COM 368802104 76,323 2,017 X X 28-5284 2017 GENERAL COMMUNICATION INC CL A 369385109 87,217 7,214 X 28-1500 7214 GENERAL DYNAMICS CORP COM 369550108 9,568,721 149,558 X 28-5284 115426 34132 7,428,846 116,112 X X 28-5284 111212 200 4700 12,796 200 X 28-4580 200 12,796 200 X X 28-4580 200 GENERAL ELECTRIC CO COM 369604103 559,931,359 16,099,234 X 28-5284 15451104 648130 619,753,689 17,819,255 X X 28-5284 14866677 65744 2886834 3,725,877 107,127 X 28-1500 245 106882 1,591,185 45,750 X 28-11439 45750 14,614,626 420,202 X 28-4580 418892 1310 14,964,547 430,263 X X 28-4580 425283 4980 GENERAL GROWTH PPTYS INC COM 370021107 25,412 520 X 28-5284 520 2,307,983 47,227 X X 28-5284 47227 4,496 92 X X 28-4580 19 73 GENERAL MLS INC COM 370334104 11,535,934 227,623 X 28-5284 219003 8620 14,437,617 284,878 X X 28-5284 274352 1400 9126 42,825 845 X 28-1500 845 39,277 775 X 28-4580 775 420,644 8,300 X X 28-4580 7900 400 COLUMN TOTAL 1,262,306,065 FILE NO. 28-1235 PAGE 74 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: ITEM 2: CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------------- --------- ---------- --------- ------- ------ -------- ------- --------- ------- GENERAL MTRS CORP COM 370442105 1,373,914 64,594 X 28-5284 43936 20658 1,915,023 90,034 X X 28-5284 86764 100 3170 78,699 3,700 X 28-11439 3700 68,936 3,241 X 28-4580 3241 6,445 303 X X 28-4580 303 GENEREX BIOTECHNOLOGY CP DEL COM 371485103 15,350 5,000 X 28-5284 5000 GENESCO INC COM 371532102 867,247 22,300 X X 28-5284 22300 GENESEE & WYO INC CL A 371559105 614 20 X 28-5284 20 804,491 26,222 X X 28-5284 18722 7500 GENESIS HEALTHCARE CORP COM 37184D101 8,788 200 X X 28-5284 200 GENTEX CORP COM 371901109 22,698 1,300 X X 28-5284 1300 158,013 9,050 X 28-1500 9050 GENESIS ENERGY L P UNIT LTD PARTN 371927104 6,240 500 X 28-5284 500 GENLYTE GROUP INC COM 372302109 5,111 75 X X 28-5284 75 GENOMIC HEALTH INC COM 37244C101 51,850 5,000 X 28-5284 5000 GENTA INC COM NEW 37245M207 4,320 2,000 X X 28-5284 2000 GENTEK INC COM NEW 37245X203 62 3 X 28-5284 3 GENUINE PARTS CO COM 372460105 995,248 22,707 X 28-5284 22707 2,834,223 64,664 X X 28-5284 62639 2025 166,554 3,800 X X 28-1500 3800 289,278 6,600 X X 28-4580 6600 GENWORTH FINL INC COM CL A 37247D106 35,937 1,075 X X 28-5284 1075 GENZYME CORP COM 372917104 30,989,496 461,016 X 28-5284 451171 9845 8,378,973 124,650 X X 28-5284 113416 4110 7124 16,133 240 X X 28-1500 240 778,542 11,582 X 28-4580 11252 330 110,577 1,645 X X 28-4580 1645 GEORGIA GULF CORP COM PAR $0.01 373200203 20,792 800 X 28-5284 600 200 COLUMN TOTAL 50,003,554 FILE NO. 28-1235 PAGE 75 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: ITEM 2: CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------------- --------- ----------- --------- ------- ------ -------- ------- --------- ------- GERDAU AMERISTEEL CORP COM 37373P105 19,530 2,100 X 28-5284 2100 9,300 1,000 X X 28-5284 1000 GERMAN AMERN BANCORP COM 373865104 41,489 3,087 X 28-5284 3087 361,939 26,930 X 28-1500 26930 GETTY IMAGES INC COM 374276103 78,624 1,050 X 28-5284 1050 14,976 200 X X 28-5284 200 GETTY RLTY CORP NEW COM 374297109 5,820 200 X 28-5284 200 29,100 1,000 X X 28-5284 1000 GILEAD SCIENCES INC COM 375558103 5,116,848 82,238 X 28-5284 80123 2115 7,642,545 122,831 X X 28-5284 120931 1900 37,332 600 X 28-1500 600 GILDAN ACTIVEWEAR INC COM 375916103 7,128 150 X 28-5284 150 1,219,838 25,670 X X 28-5284 25670 GLADSTONE COML CORP COM 376536108 14,783 730 X X 28-1500 730 GLADSTONE INVT CORP COM 376546107 89,407 5,921 X X 28-1500 5921 GLATFELTER COM 377316104 8,379,285 457,135 X 28-5284 456935 200 39,127,860 2,134,635 X X 28-5284 2133435 1200 GLAXOSMITHKLINE PLC SPONSORED ADR 37733W105 18,725,934 357,980 X 28-5284 355250 2730 32,958,229 630,056 X X 28-5284 620729 682 8645 7,010 134 X 28-1500 134 117,593 2,248 X 28-4580 2248 900,674 17,218 X X 28-4580 17218 GLENAYRE TECHNOLOGIES INC COM 377899109 7,875 1,500 X 28-5284 1500 1,575 300 X X 28-5284 300 GLIMCHER RLTY TR SH BEN INT 379302102 118,343 4,167 X 28-5284 4167 147,680 5,200 X X 28-1500 5200 GLOBAL HIGH INCOME DLR FD IN COM 37933G108 16,611 1,050 X 28-5284 1050 GLOBAL PMTS INC COM 37940X102 1,325 25 X X 28-5284 25 GLOBAL POWER EQUIPMENT INC COM 37941P108 770 200 X X 28-5284 200 COLUMN TOTAL 115,199,423 FILE NO. 28-1235 PAGE 76 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 2: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: TITLE OF CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- --------- --------- ----------- --------- ------- ------ -------- ------- --------- ------- GLOBECOMM SYSTEMS INC COM 37956X103 55,500 7,500 X X 28-5284 7500 GMX RES INC COM 38011M108 3,745 100 X X 28-5284 100 GOLD FIELDS SPONSORED LTD NEW ADR 38059T106 34,706 1,579 X 28-5284 1579 GOLDCORP INC NEW COM 380956409 88,043 3,010 X 28-5284 3010 81,900 2,800 X X 28-5284 2800 GOLDEN WEST FINL CORP DEL COM 381317106 1,797,856 26,478 X 28-5284 24978 1500 348,734 5,136 X X 28-5284 2146 990 2000 GOLDMAN SACHS GROUP INC COM 38141G104 73,553,653 468,614 X 28-5284 457508 11106 24,386,090 155,365 X X 28-5284 148812 4090 2463 58,703 374 X 28-1500 374 1,634,738 10,415 X 28-4580 10198 217 831,260 5,296 X X 28-4580 5237 59 GOODRICH CORP COM 382388106 115,174 2,641 X 28-5284 2641 31,312 718 X X 28-5284 718 GOODYEAR TIRE & RUBR CO COM 382550101 3,417 236 X 28-5284 236 172,312 11,900 X X 28-5284 10946 954 37,648 2,600 X 28-11439 2600 GOOGLE INC CL A 38259P508 353,340 906 X 28-5284 906 497,640 1,276 X X 28-5284 1246 30 27,300 70 X X 28-1500 70 39,000 100 X 28-4580 100 3,120 8 X X 28-4580 2 6 GORMAN RUPP CO COM 383082104 45,750 1,875 X 28-5284 1875 GRACE W R & CO DEL NEW COM 38388F108 15,069 1,133 X X 28-5284 220 913 GRACO INC COM 384109104 477,015 10,500 X 28-5284 10500 472,472 10,400 X X 28-5284 10400 GRAINGER W W INC COM 384802104 2,162,997 28,706 X 28-5284 23112 5594 1,007,430 13,370 X X 28-5284 13370 331,540 4,400 X X 28-4580 4400 GRANITE CONSTR INC COM 387328107 554,952 11,400 X X 28-5284 11400 COLUMN TOTAL 109,222,416 FILE NO. 28-1235 PAGE 77 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: ITEM 2: CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------------- --------- ---------- --------- ------- ------ -------- ------- --------- ------- GRANT PRIDECO INC COM 38821G101 658,151 15,363 X X 28-5284 15352 11 4,284 100 X X 28-4580 100 GREAT ATLANTIC & PAC TEA INC COM 390064103 8,383 240 X X 28-5284 240 GREAT NORTHN IRON ORE PPTYS CTFS BEN INT 391064102 12,911 95 X 28-5284 95 47,569 350 X X 28-5284 350 GREAT PLAINS ENERGY INC COM 391164100 522,323 18,555 X 28-5284 15755 2800 140,750 5,000 X X 28-5284 5000 GREATER BAY BANCORP COM 391648102 9,498,176 342,400 X 28-1500 342400 GREATER CHINA FD INC COM 39167B102 4,138 235 X 28-5284 235 26,415 1,500 X X 28-5284 1500 GREEN MTN COFFEE ROASTERS IN COM 393122106 15,888 400 X 28-5284 400 GREENHILL & CO INC COM 395259104 1,059,743 16,030 X X 28-5284 16030 GREY WOLF INC COM 397888108 3,906 525 X X 28-5284 525 GROUP 1 AUTOMOTIVE INC COM 398905109 128,738 2,708 X X 28-1500 2708 GROUPE DANONE SPONSORED ADR 399449107 61,512 2,400 X 28-5284 2400 23,067 900 X X 28-5284 900 GRUPO TELEVISA SA DE CV SP ADR REP ORD 40049J206 15,920 800 X 28-5284 800 GTECH HLDGS CORP COM 400518106 6,810 200 X 28-5284 200 2,349 69 X X 28-4580 18 51 GUIDANT CORP COM 401698105 2,709,619 34,712 X 28-5284 33712 1000 1,582,510 20,273 X X 28-5284 18469 320 1484 202,956 2,600 X 28-1500 2600 4,800,690 61,500 X 28-11439 61500 16,471 211 X 28-4580 211 GUITAR CTR MGMT INC COM 402040109 9,540 200 X X 28-5284 200 GYMBOREE CORP COM 403777105 5,911 227 X 28-1500 227 COLUMN TOTAL 21,568,730 FILE NO. 28-1235 PAGE 78 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: ITEM 2: CUSIP 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 100,384 5,867 X 28-5284 5867 7,990 467 X X 28-5284 467 HCA INC COM 404119109 1,849,367 40,388 X 28-5284 37885 2503 616,974 13,474 X X 28-5284 11324 2150 82,422 1,800 X 28-1500 1800 HNI CORP COM 404251100 277,300 4,700 X 28-5284 4700 283,200 4,800 X X 28-5284 4800 HRPT PPTYS TR COM SH BEN INT 40426W101 115,052 9,800 X 28-5284 9800 17,610 1,500 X X 28-5284 1500 HSBC HLDGS PLC SPON ADR NEW 404280406 2,947,716 35,184 X 28-5284 31248 3936 783,343 9,350 X X 28-5284 8944 406 167,560 2,000 X X 28-4580 2000 HAEMONETICS CORP COM 405024100 10,154 200 X X 28-5284 200 HAIN CELESTIAL GROUP INC COM 405217100 13,095 500 X 28-5284 500 HALLIBURTON CO COM 406216101 6,174,206 84,555 X 28-5284 83962 593 6,913,461 94,679 X X 28-5284 89395 3900 1384 67,178 920 X X 28-1500 920 858,715 11,760 X 28-11439 11760 25,557 350 X 28-4580 350 JOHN HANCOCK BK &THRIFT OPP SH BEN INT 409735107 37,017 3,860 X 28-5284 3860 HANCOCK FABRICS INC COM 409900107 15 4 X X 28-1500 4 HANCOCK JOHN INCOME SECS TR COM 410123103 12,330 900 X X 28-5284 900 HANCOCK JOHN PATRIOT PFD DIV COM 41013J107 95,475 7,500 X X 28-5284 7500 HANCOCK JOHN PATRIOT PREM DI COM 41013Q101 41,700 5,000 X 28-5284 5000 11,859 1,422 X X 28-5284 1422 HANCOCK JOHN PATRIOT PREM II COM SH BEN INT 41013T105 5,635 500 X X 28-5284 500 11,270 1,000 X 28-4580 1000 HANCOCK JOHN TAX-ADV DIV INC COM 41013V100 5,590 325 X 28-5284 325 25,800 1,500 X X 28-5284 1500 COLUMN TOTAL 21,557,975 FILE NO. 28-1235 PAGE 79 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: ITEM 2: CUSIP 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 22,920 1,000 X 28-5284 1000 HANOVER CAP MTG HLDGS INC COM 410761100 5,357 837 X 28-5284 837 13,466 2,104 X X 28-5284 2104 HANOVER COMPRESSOR CO COM 410768105 37,687 2,024 X 28-5284 2024 HANOVER INS GROUP INC COM 410867105 347,230 6,624 X 28-5284 6624 57,190 1,091 X X 28-5284 1091 HANSEN NAT CORP COM 411310105 12,605 100 X 28-5284 100 94,538 750 X X 28-5284 750 HANSON PLC NEW SPONSORED ADR 411349103 4,047 62 X 28-5284 62 12,205 187 X X 28-5284 187 HARBOR FLA BANCSHARES INC COM 411901101 68,545 1,810 X 28-5284 510 1300 54,912 1,450 X X 28-5284 250 1200 HARKEN ENERGY CORP COM NEW 412552309 330 500 X X 28-5284 500 HARLEY DAVIDSON INC COM 412822108 41,256,169 795,223 X 28-5284 700068 95155 7,738,317 149,158 X X 28-5284 137332 6260 5566 615,193 11,858 X 28-1500 7069 4789 HARLEYSVILLE GROUP INC COM 412824104 18,705 630 X 28-5284 630 25,237 850 X X 28-5284 850 HARLEYSVILLE NATL CORP PA COM 412850109 341,236 15,006 X 28-5284 15006 1,444,900 63,540 X X 28-5284 63540 HARMAN INTL INDS INC COM 413086109 1,334 12 X X 28-5284 12 HARMONIC INC COM 413160102 77,179 12,116 X 28-1500 12116 HARRAHS ENTMT INC COM 413619107 381,224 4,890 X 28-5284 2890 2000 509,625 6,537 X X 28-5284 4721 1816 2,962 38 X X 28-4580 6 32 HARRIS & HARRIS GROUP INC COM 413833104 6,975 500 X 28-5284 500 202,275 14,500 X X 28-1500 14500 COLUMN TOTAL 53,352,363 FILE NO. 28-1235 PAGE 80 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 2: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: TITLE OF CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- ---------- --------- --------- --------- ------- ------ -------- ------- --------- ------- HARRIS CORP DEL COM 413875105 228,505 4,832 X 28-5284 4832 1,305,204 27,600 X X 28-5284 27600 HARSCO CORP COM 415864107 1,821,854 22,051 X 28-5284 22051 207,789 2,515 X X 28-5284 2500 15 HARTE-HANKS INC COM 416196103 41,025 1,500 X 28-5284 1500 HARTFORD FINL SVCS GROUP INC COM 416515104 982,146 12,193 X 28-5284 12193 1,165,156 14,465 X X 28-5284 13965 500 12,163 151 X 28-4580 151 HARVEST ENERGY TR TRUST UNIT 41752X101 116,520 4,000 X 28-5284 4000 HASBRO INC COM 418056107 3,671 174 X 28-5284 174 74,905 3,550 X X 28-5284 3550 HAWAIIAN ELEC INDUSTRIES COM 419870100 48,834 1,800 X 28-5284 1800 99,025 3,650 X X 28-5284 3650 HEALTHCARE SVCS GRP INC COM 421906108 3,204 150 X 28-5284 150 HEALTH CARE PPTY INVS INC COM 421915109 664,560 23,400 X 28-5284 23400 1,160,538 40,864 X X 28-5284 40664 200 170,400 6,000 X X 28-1500 6000 HEALTH MGMT ASSOC INC NEW CL A 421933102 138,048 6,400 X 28-5284 3700 2700 118,635 5,500 X X 28-5284 1900 3600 HEALTHCARE RLTY TR COM 421946104 269,248 7,203 X 28-5284 7203 95,020 2,542 X X 28-5284 2535 7 77,937 2,085 X X 28-1500 2085 HEADWATERS INC COM 42210P102 54,512 1,370 X 28-5284 1370 44,804 1,126 X X 28-5284 1106 20 HEALTH CARE REIT INC COM 42217K106 312,420 8,200 X 28-5284 8200 45,720 1,200 X X 28-5284 1200 9,525 250 X X 28-1500 250 HEALTHAXIS INC COM NEW 42219D308 1,650 1,000 X 28-5284 1000 HEALTHEXTRAS INC COM 422211102 111,725 3,165 X X 28-5284 3165 COLUMN TOTAL 9,384,743 FILE NO. 28-1235 PAGE 81 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 2: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: TITLE OF CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------- --------- ----------- --------- ------- ------ -------- ------- --------- ------- HEALTH NET INC COM 42222G108 508 10 X X 28-5284 10 HEALTHTRONICS INC COM 42222L107 101,225 12,240 X 28-1500 12240 HEALTHWAYS INC COM 422245100 1,121 22 X X 28-5284 22 HEARST-ARGYLE TELEVISION INC COM 422317107 21,024 900 X X 28-5284 900 HEARTLAND EXPRESS INC COM 422347104 9,195 422 X 28-4580 422 HEINZ H J CO COM 423074103 24,708,369 651,592 X 28-5284 643292 8300 25,149,606 663,228 X X 28-5284 635182 1400 26646 172,915 4,560 X X 28-1500 4560 432,288 11,400 X 28-11439 11400 2,636,123 69,518 X 28-4580 69518 1,990,724 52,498 X X 28-4580 52498 HELIX ENERGY SOLUTIONS GRP I COM 42330P107 3,790 100 X 28-5284 100 974,788 25,720 X X 28-5284 25720 HELMERICH & PAYNE INC COM 423452101 97,748 1,400 X 28-5284 1400 6,982 100 X X 28-5284 100 HENRY JACK & ASSOC INC COM 426281101 388,790 17,000 X 28-5284 17000 13,722 600 X X 28-5284 600 HERCULES INC COM 427056106 15,180 1,100 X 28-5284 1100 30,415 2,204 X 28-4580 2204 113,767 8,244 X X 28-4580 8244 HERITAGE PPTY INVT TR INC COM 42725M107 19,795 500 X 28-5284 500 HERSHEY CO COM 427866108 37,724,841 722,283 X 28-5284 701407 20876 19,322,280 369,946 X X 28-5284 363472 2420 4054 9,610 184 X X 28-1500 184 319,543 6,118 X 28-4580 5754 364 120,808 2,313 X X 28-4580 2313 HEWLETT PACKARD CO COM 428236103 60,806,800 1,848,231 X 28-5284 1766782 81449 46,781,168 1,421,920 X X 28-5284 1339852 15256 66812 66,491 2,021 X 28-1500 2021 1,631,182 49,580 X 28-4580 48832 748 1,641,249 49,886 X X 28-4580 49886 COLUMN TOTAL 225,312,047 FILE NO. 28-1235 PAGE 82 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 2: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: TITLE OF CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- ------------- --------- ----------- --------- ------- ------ -------- ------- --------- ------- HEXCEL CORP NEW COM 428291108 81,838 3,725 X X 28-5284 3725 4,394 200 X X 28-1500 200 HI-TECH PHARMACAL INC COM 42840B101 16,920 600 X X 28-5284 600 HIGHWOODS PPTYS INC COM 431284108 101,190 3,000 X 28-5284 3000 157,688 4,675 X X 28-5284 4675 HILB ROGAL & HOBBS CO COM 431294107 1,851,809 44,925 X X 28-5284 35205 9720 HILLENBRAND INDS INC COM 431573104 9,525,313 173,219 X 28-5284 29339 143880 153,972 2,800 X X 28-5284 1000 1800 HILTON HOTELS CORP COM 432848109 149,348 5,866 X 28-5284 5866 348,089 13,672 X X 28-5284 12600 1072 HINES HORTICULTURE INC COM 433245107 69,600 20,000 X X 28-5284 20000 HITACHI LIMITED ADR 10 COM 433578507 8,851 125 X 28-5284 125 69,040 975 X X 28-5284 175 800 HOLLY CORP COM PAR $0.01 435758305 1,022,115 13,790 X X 28-5284 13790 HOLOGIC INC COM 436440101 22,140 400 X X 28-5284 400 HOME DEPOT INC COM 437076102 112,649,891 2,663,118 X 28-5284 2484347 178771 46,833,841 1,107,183 X X 28-5284 1066325 6670 34188 1,351,527 31,951 X 28-1500 13648 18303 821,085 19,411 X 28-4580 19411 409,845 9,689 X X 28-4580 9689 HOME PROPERTIES INC COM 437306103 58,765 1,150 X 28-5284 1150 HONDA MOTOR LTD AMERN SHS 438128308 9,381 303 X 28-5284 303 123,840 4,000 X X 28-5284 1800 2200 HONEYWELL INTL INC COM 438516106 8,983,325 210,038 X 28-5284 150332 59706 3,700,204 86,514 X X 28-5284 81554 4960 181,986 4,255 X 28-1500 155 4100 470,641 11,004 X X 28-4580 11004 HOPFED BANCORP INC COM 439734104 56,218 3,518 X 28-1500 3518 COLUMN TOTAL 189,232,856 FILE NO. 28-1235 PAGE 83 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: ITEM 2: CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------------- --------- ---------- --------- ------- ------ -------- ------- --------- ------- HORMEL FOODS CORP COM 440452100 399,347 11,815 X 28-5284 8215 3600 50,700 1,500 X X 28-4580 1500 HOSPITALITY PPTYS TR COM SH BEN INT 44106M102 118,520 2,714 X 28-5284 2714 132,538 3,035 X X 28-5284 3035 HOSPIRA INC COM 441060100 2,901,809 73,538 X 28-5284 63860 9678 5,929,615 150,269 X X 28-5284 146224 347 3698 126,272 3,200 X 28-1500 3200 237,076 6,008 X 28-4580 5632 376 33,541 850 X X 28-4580 850 HOST MARRIOTT CORP NEW COM 44107P104 82,240 3,843 X 28-5284 3843 302,104 14,117 X X 28-5284 14117 HOT TOPIC INC COM 441339108 537 37 X 28-1500 37 HOUSTON EXPL CO COM 442120101 48,326 917 X X 28-5284 900 17 HOVNANIAN ENTERPRISES INC CL A 442487203 72,485 1,650 X X 28-5284 1620 30 HUANENG PWR INTL INC SPON ADR N 443304100 22,232 800 X X 28-5284 800 HUBBELL INC CL A 443510102 173,148 3,684 X 28-5284 3684 164,500 3,500 X X 28-5284 1000 2500 HUBBELL INC CL B 443510201 811,343 15,828 X 28-5284 5828 10000 248,765 4,853 X X 28-5284 3999 854 138,402 2,700 X X 28-1500 2700 HUDSON CITY BANCORP COM 443683107 144,861 10,900 X 28-5284 1000 9900 42,608 3,206 X X 28-5284 3206 HUGOTON RTY TR TEX UNIT BEN INT 444717102 31,130 1,000 X 28-5284 1000 15,565 500 X X 28-5284 500 HUMANA INC COM 444859102 924,955 17,568 X 28-5284 17293 275 184,275 3,500 X X 28-5284 3500 46,753 888 X 28-1500 888 HUMAN GENOME SCIENCES INC COM 444903108 34,784 3,200 X 28-5284 3200 HUNT J B TRANS SVCS INC COM 445658107 75,390 3,500 X X 28-5284 3500 COLUMN TOTAL 13,493,821 FILE NO. 28-1235 PAGE 84 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: ITEM 2: CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------------- --------- --------- --------- ------- ------ -------- ------- --------- ------- HUNTINGTON BANCSHARES INC COM 446150104 2,103,267 87,164 X 28-5284 85565 1599 137,420 5,695 X X 28-5284 3525 2170 15,564 645 X 28-1500 645 31,634 1,311 X 28-4580 1311 442,327 18,331 X X 28-4580 18331 HUNTSMAN CORP COM 447011107 9,650 500 X 28-5284 500 19,300 1,000 X X 28-5284 1000 HUTTIG BLDG PRODS INC COM 448451104 5,651 607 X 28-5284 607 HYDRIL COM 448774109 895,646 11,490 X X 28-5284 11490 HYDROGENICS CORP COM 448882100 3,985 1,145 X 28-5284 1145 HYPERION SOLUTIONS CORP COM 44914M104 1,695 52 X 28-5284 52 IAC INTERACTIVECORP *W EXP 02/04/2 44919P128 748 50 X X 28-5284 50 IAC INTERACTIVECORP COM NEW 44919P300 24,313 825 X 28-5284 825 101,672 3,450 X X 28-5284 3450 117,880 4,000 X X 28-1500 4000 ICT GROUP INC COM 44929Y101 40,800 1,500 X 28-5284 1500 ICOS CORP COM 449295104 57,330 2,600 X X 28-5284 2600 22,050 1,000 X X 28-1500 1000 IHOP CORP COM 449623107 141,423 2,950 X 28-5284 2950 ING PRIME RATE TR SH BEN INT 44977W106 5,888 840 X 28-5284 840 ING CLARION REAL EST INCOME COM SHS 449788108 44,798 2,600 X 28-5284 2600 ING CLARION GLB RE EST INCM COM 44982G104 31,195 1,700 X 28-5284 1700 IMS HEALTH INC COM 449934108 507,334 19,687 X 28-5284 17287 2400 374,567 14,535 X X 28-5284 14267 268 168,845 6,552 X X 28-4580 6552 ISTAR FINL INC COM 45031U101 245,375 6,410 X 28-5284 6410 425,942 11,127 X X 28-5284 11100 27 COLUMN TOTAL 5,976,299 FILE NO. 28-1235 PAGE 85 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 2: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: TITLE OF CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------- --------- ----------- --------- ------- ------ -------- ------- --------- ------- ITT EDUCATIONAL SERVICES INC COM 45068B109 6,405 100 X X 28-5284 100 ITT INDS INC IND COM 450911102 43,922,156 781,255 X 28-5284 763535 17720 17,845,128 317,416 X X 28-5284 293154 4040 20222 63,641 1,132 X X 28-1500 1132 838,240 14,910 X 28-4580 14496 414 487,315 8,668 X X 28-4580 8668 ICICI BK LTD ADR 45104G104 27,680 1,000 X 28-5284 1000 55,360 2,000 X X 28-5284 2000 IDACORP INC COM 451107106 23,252 715 X 28-5284 715 11,935 367 X X 28-5284 267 100 IDEX CORP COM 45167R104 57,387 1,100 X X 28-5284 1100 IDEXX LABS INC COM 45168D104 224,536 2,600 X X 28-5284 2600 IDERA PHARMACEUTICALS INC COM 45168K108 630 1,000 X X 28-5284 1000 IGATE CORP COM 45169U105 10,620 1,800 X 28-5284 1800 IKON OFFICE SOLUTIONS INC COM 451713101 6,911 485 X 28-5284 485 IDENTIX INC COM 451906101 6,050 760 X 28-5284 760 108,662 13,651 X 28-1500 13651 ILLINOIS TOOL WKS INC COM 452308109 31,749,940 329,664 X 28-5284 327944 1720 23,368,851 242,642 X X 28-5284 231817 670 10155 41,702 433 X X 28-1500 433 574,489 5,965 X 28-4580 5965 1,992,654 20,690 X X 28-4580 20690 IMATION CORP COM 45245A107 21,884 510 X 28-5284 460 50 122,551 2,856 X X 28-5284 2856 25,703 599 X X 28-4580 599 IMAX CORP COM 45245E109 101,500 10,000 X 28-5284 10000 10,150 1,000 X X 28-5284 1000 68,147 6,714 X 28-1500 6714 IMCLONE SYS INC COM 45245W109 42,763 1,257 X 28-5284 1257 183,708 5,400 X 28-11439 5400 COLUMN TOTAL 121,999,950 FILE NO. 28-1235 PAGE 86 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: ITEM 2: CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------------- --------- --------- --------- ------- ------ -------- ------- --------- ------- IMMUCOR INC COM 452526106 998,412 34,800 X X 28-5284 34800 IMPAC MTG HLDGS INC COM 45254P102 9,640 1,000 X 28-5284 1000 IMPERIAL CHEM INDS PLC ADR NEW 452704505 264 11 X X 28-5284 11 IMPERIAL OIL LTD COM NEW 453038408 246,804 2,295 X 28-5284 2295 1,470,502 13,674 X X 28-5284 11374 2300 IMPERIAL TOBACCO GROUP PLC SPONSORED ADR 453142101 35,928 600 X 28-5284 600 22,455 375 X X 28-5284 375 INAMED CORP COM 453235103 5,554 60 X 28-5284 60 INCO LTD COM 453258402 61,365 1,230 X 28-5284 1230 42,606 854 X X 28-5284 854 INDEPENDENT BANK CORP MASS COM 453836108 12,860 400 X 28-5284 400 INDIA FD INC COM 454089103 136,350 2,700 X 28-5284 2700 242,400 4,800 X X 28-5284 4800 INDONESIA FD INC COM 455778100 4,385 500 X 28-5284 500 INDYMAC BANCORP INC COM 456607100 57,302 1,400 X 28-5284 1400 560,741 13,700 X X 28-5284 13700 8,186 200 X X 28-1500 200 INFOSPACE INC COM NEW 45678T201 41,925 1,500 X X 28-5284 1500 INFOSYS TECHNOLOGIES LTD SPONSORED ADR 456788108 48,273 620 X 28-5284 620 27,251 350 X X 28-5284 350 ING GROEP N V SPONSORED ADR 456837103 88,768 2,253 X 28-5284 2253 78,800 2,000 X X 28-5284 2000 ING GLOBAL EQTY DIV & PREM O COM 45684E107 193,600 10,000 X 28-5284 10000 INGRAM MICRO INC CL A 457153104 20,460 1,023 X X 28-5284 1000 23 INNKEEPERS USA TR COM 4576J0104 2,034 120 X X 28-1500 120 INPUT/OUTPUT INC COM 457652105 67,970 7,000 X 28-5284 7000 COLUMN TOTAL 4,484,835 FILE NO. 28-1235 PAGE 87 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 2: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: TITLE OF CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------- --------- ----------- --------- ------- ------ -------- ------- --------- ------- INSMED INC COM NEW 457669208 6,548 3,358 X X 28-5284 3358 INNOVATIVE SOLUTIONS & SUPPO COM 45769N105 5,334,108 410,316 X X 28-5284 410316 INSPIRE PHARMACEUTICALS INC COM 457733103 85,040 16,260 X X 28-5284 16260 INSTEEL INDUSTRIES INC COM 45774W108 11,356 200 X 28-5284 200 126,222 2,223 X 28-1500 2223 INTEGRA LIFESCIENCES HLDGS C COM NEW 457985208 475,368 11,600 X 28-5284 11600 12,294 300 X X 28-5284 300 INSURED MUN INCOME FD COM 45809F104 19,530 1,500 X X 28-5284 1500 INTEGRAL SYS INC MD COM 45810H107 53,980 2,000 X X 28-5284 2000 INTEGRA BK CORP COM 45814P105 12,710 556 X 28-1500 556 INTEL CORP COM 458140100 101,000,124 5,190,140 X 28-5284 5064307 125833 102,659,985 5,275,436 X X 28-5284 5064831 26534 184071 427,128 21,949 X 28-1500 21949 1,932,826 99,323 X 28-4580 98317 1006 2,130,520 109,482 X X 28-4580 107882 1600 INTERCONTINENTALEXCHANGE INC COM 45865V100 27,620 400 X X 28-5284 400 INTERDIGITAL COMMUNICATIONS COM 45866A105 4,904 200 X 28-5284 200 155,285 6,333 X X 28-5284 6333 6,718 274 X X 28-1500 274 INTERLEUKIN GENETICS INC COM 458738101 7,150 1,000 X 28-5284 1000 107,250 15,000 X X 28-1500 15000 INTERMAGNETICS GEN CORP COM 458771102 7,515 300 X 28-5284 300 15,932 636 X X 28-5284 636 INTERMEC INC COM 458786100 15,255 500 X 28-5284 500 24,408 800 X X 28-5284 800 INTERMUNE INC COM 45884X103 18,540 1,000 X 28-4580 1000 COLUMN TOTAL 214,678,316 FILE NO. 28-1235 PAGE 88 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 2: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: TITLE OF CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------- --------- ----------- --------- ------- ------ -------- ------- --------- ------- INTERNATIONAL BUSINESS MACHS COM 459200101 119,901,978 1,453,886 X 28-5284 1411527 42359 162,894,744 1,975,200 X X 28-5284 1265905 9381 699914 419,525 5,087 X 28-1500 1 5086 2,622,051 31,794 X 28-4580 31794 6,760,808 81,979 X X 28-4580 81979 INTERNATIONAL COAL GRP INC N COM 45928H106 48,700 5,000 X 28-5284 5000 292,200 30,000 X X 28-5284 30000 INTERNATIONAL FLAVORS&FRAGRA COM 459506101 111,368 3,245 X 28-5284 3245 199,056 5,800 X X 28-5284 3900 1900 INTERNATIONAL GAME TECHNOLOG COM 459902102 2,892,548 82,128 X 28-5284 78128 4000 268,271 7,617 X X 28-5284 3400 4217 38,531 1,094 X 28-1500 1094 70,440 2,000 X X 28-1500 2000 149,685 4,250 X 28-11439 4250 1,550 44 X X 28-4580 10 34 INTL PAPER CO COM 460146103 6,083,352 175,972 X 28-5284 174622 1350 4,473,427 129,402 X X 28-5284 126604 2798 123,553 3,574 X 28-4580 3474 100 208,561 6,033 X X 28-4580 6033 INTERNATIONAL RECTIFIER CORP COM 460254105 207,150 5,000 X 28-5284 5000 INTERNATIONAL SECS EXCH INC CL A 46031W204 14,578 350 X X 28-5284 350 INTERNATIONAL SHIPHOLDING CO COM NEW 460321201 46,677 3,031 X 28-5284 3031 INTERNATIONAL SPEEDWAY CORP CL A 460335201 2,545 50 X 28-5284 50 137,430 2,700 X X 28-5284 2700 INTERNET CAP GROUP INC COM NEW 46059C205 432,095 45,870 X 28-5284 45870 94 10 X X 28-5284 10 INTERSIL CORP CL A 46069S109 6,941 240 X 28-5284 240 INTERPUBLIC GROUP COS INC COM 460690100 118,946 12,442 X 28-5284 12442 75,524 7,900 X X 28-5284 4200 3700 INTERSTATE HOTELS & RESRTS I COM 46088S106 286,439 53,540 X 28-5284 53540 COLUMN TOTAL 308,888,767 FILE NO. 28-1235 PAGE 89 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: ITEM 2: CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------------- --------- ---------- --------- ------- ------ -------- ------- --------- ------- INTRAWEST CORPORATION COM NEW 460915200 163,599 4,785 X 28-5284 4785 INTERVEST BANCSHARES CORP CL A 460927106 16,444 455 X 28-5284 455 72,280 2,000 X X 28-5284 2000 9,743,344 269,600 X 28-1500 269600 INTUITIVE SURGICAL INC COM NEW 46120E602 590,000 5,000 X 28-5284 5000 906,830 7,685 X X 28-5284 7685 INTUIT COM 461202103 12,766 240 X 28-5284 240 105,316 1,980 X X 28-5284 1980 INVESTMENT TECHNOLOGY GRP NE COM 46145F105 7,470 150 X X 28-5284 150 INVESTORS BANCORP INC COM 46146P102 2,788 200 X X 28-5284 200 INVITROGEN CORP COM 46185R100 9,818 140 X X 28-5284 140 INVESTORS FINL SERVICES CORP COM 461915100 121,862 2,600 X X 28-5284 2600 IOWA TELECOMM SERVICES INC COM 462594201 66,780 3,500 X X 28-5284 3500 IPSCO INC COM 462622101 20,818 200 X X 28-5284 200 IRON MTN INC COM 462846106 308,606 7,575 X 28-5284 7575 84,943 2,085 X X 28-5284 2085 IRWIN FINL CORP COM 464119106 139,176 7,200 X 28-5284 7200 ISHARES COMEX GOLD TR ISHARES 464285105 29,115 500 X 28-5284 500 285,327 4,900 X X 28-5284 4900 ISHARES INC MSCI AUSTRALIA 464286103 23,463 1,172 X 28-5284 1172 292,492 14,610 X X 28-5284 14610 ISHARES INC MSCI AUSTRIA 464286202 124,036 3,987 X 28-5284 3987 ISHARES INC MSCI BRAZIL 464286400 19,975 500 X X 28-5284 500 64,959 1,626 X X 28-1500 1626 6,472 162 X X 28-4580 37 125 ISHARES INC MSCI CDA INDEX 464286509 120,513 5,100 X 28-5284 5100 450,152 19,050 X X 28-5284 19050 COLUMN TOTAL 13,789,344 FILE NO. 28-1235 PAGE 90 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: ITEM 2: CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------------- --------- ---------- --------- ------- ------ -------- ------- --------- ------- ISHARES INC MSCI EMU INDEX 464286608 5,937,530 68,130 X 28-5284 68130 95,865 1,100 X X 28-5284 700 400 917,777 10,531 X 28-4580 10531 1,823,004 20,918 X X 28-4580 20218 700 ISHARES INC MSCI PAC J IDX 464286665 35,070,617 334,165 X 28-5284 329124 5041 3,770,749 35,929 X X 28-5284 34929 1000 1,267,586 12,078 X 28-4580 12078 4,107,218 39,135 X X 28-4580 37435 1700 ISHARES INC MSCI SINGAPORE 464286673 35,120 4,000 X 28-5284 4000 46,912 5,343 X X 28-5284 5343 60,301 6,868 X X 28-4580 6868 ISHARES INC MSCI FRANCE 464286707 13,145 450 X 28-5284 450 ISHARES INC MSCI TAIWAN 464286731 12,730 1,000 X 28-5284 1000 39,781 3,125 X X 28-5284 3125 ISHARES INC MSCI SWITZERLD 464286749 20,930 1,000 X 28-5284 1000 308,194 14,725 X X 28-5284 14725 ISHARES INC MSCI SWEDEN 464286756 3,091 120 X 28-5284 120 ISHARES INC MSCI S KOREA 464286772 46,650 1,000 X X 28-5284 1000 54,114 1,160 X X 28-1500 1160 6,718 144 X X 28-4580 33 111 ISHARES INC MSCI STH AFRCA 464286780 46,924 408 X X 28-1500 408 ISHARES INC MSCI MEXICO 464286822 7,668 200 X X 28-5284 200 46,775 1,220 X X 28-1500 1220 ISHARES INC MSCI MALAYSIA 464286830 30,254 4,050 X X 28-5284 4050 18,675 2,500 X X 28-1500 2500 ISHARES INC MSCI JAPAN 464286848 25,751,866 1,788,324 X 28-5284 1786113 2211 6,397,502 444,271 X X 28-5284 440971 3300 1,236,384 85,860 X 28-4580 85860 5,152,896 357,840 X X 28-4580 344702 13138 COLUMN TOTAL 92,326,976 FILE NO. 28-1235 PAGE 91 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: ITEM 2: CUSIP 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 HONG KONG 464286871 15,176 1,125 X 28-5284 1125 20,235 1,500 X X 28-5284 1500 2,469 183 X X 28-4580 183 ISHARES TR S&P 100 IDX FD 464287101 1,554,964 26,333 X 28-5284 24505 1828 1,471,703 24,923 X X 28-5284 24923 103,397 1,751 X 28-4580 1751 43,343 734 X X 28-4580 734 ISHARES TR DJ SEL DIV INX 464287168 23,704,049 378,055 X 28-5284 373910 4145 13,901,405 221,713 X X 28-5284 217286 4427 1,534,520 24,474 X 28-4580 24074 400 2,888,840 46,074 X X 28-4580 43673 2401 ISHARES TR US TIPS BD FD 464287176 4,873,674 48,422 X 28-5284 48422 1,288,320 12,800 X X 28-5284 12800 10,065 100 X 28-4580 100 251,625 2,500 X X 28-4580 2000 500 ISHARES TR FTSE XNHUA IDX 464287184 1,400,549 18,855 X 28-5284 18855 341,688 4,600 X X 28-5284 4600 5,571 75 X X 28-4580 31 44 ISHARES TR TRANSP AVE IDX 464287192 24,663 300 X 28-5284 300 ISHARES TR S&P 500 INDEX 464287200 192,812,713 1,484,088 X 28-5284 1457775 3274 23039 51,523,024 396,575 X X 28-5284 350523 41444 4608 4,373,757 33,665 X X 28-1500 33665 2,720,525 20,940 X 28-4580 20940 1,596,327 12,287 X X 28-4580 12287 ISHARES TR LEHMAN AGG BND 464287226 35,610,541 359,412 X 28-5284 359285 127 5,477,341 55,282 X X 28-5284 55282 12,880 130 X X 28-1500 130 29,724 300 X 28-4580 300 66,384 670 X X 28-4580 224 446 ISHARES TR MSCI EMERG MKT 464287234 39,992,337 403,963 X 28-5284 395067 8896 19,984,833 201,867 X X 28-5284 195278 300 6289 19,800 200 X X 28-1500 200 433,521 4,379 X 28-4580 4379 273,636 2,764 X X 28-4580 2390 374 COLUMN TOTAL 408,363,599 FILE NO. 28-1235 PAGE 92 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: ITEM 2: CUSIP 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 GS CORP BD FD 464287242 7,884,232 74,874 X 28-5284 73224 1650 1,897,611 18,021 X X 28-5284 17420 601 ISHARES TR S&P GBL INF 464287291 5,644 100 X 28-5284 100 71,114 1,260 X X 28-5284 1260 ISHARES TR S&P500 GRW 464287309 9,857,396 161,862 X 28-5284 161862 5,095,564 83,671 X X 28-5284 81556 2115 216,621 3,557 X 28-4580 3557 ISHARES TR S&P GBL HLTHCR 464287325 10,802 200 X 28-5284 200 891,165 16,500 X X 28-4580 16500 ISHARES TR S&P GBL ENER 464287341 54,940 540 X 28-5284 540 146,200 1,437 X X 28-5284 1437 ISHARES TR GS NAT RES IDX 464287374 13,535,993 141,044 X 28-5284 141044 413,439 4,308 X X 28-5284 4308 1,470,260 15,320 X 28-4580 15320 8,198,429 85,427 X X 28-4580 82427 3000 ISHARES TR S&P LTN AM 40 464287390 164,759 1,175 X 28-5284 1175 344,941 2,460 X X 28-5284 2460 45,431 324 X X 28-1500 324 48,376 345 X X 28-4580 310 35 ISHARES TR S&P 500 VALUE 464287408 20,535,518 298,655 X 28-5284 298655 3,796,652 55,216 X X 28-5284 54566 650 214,737 3,123 X 28-4580 3123 316,296 4,600 X X 28-4580 2000 2600 ISHARES TR 20+ YR TRS BD 464287432 992,924 11,430 X 28-5284 11430 570,388 6,566 X X 28-5284 6566 ISHARES TR 7-10 YR TRS BD 464287440 4,928,085 60,408 X 28-5284 60408 1,184,460 14,519 X X 28-5284 14519 ISHARES TR 1-3 YR TRS BD 464287457 9,676,950 120,977 X 28-5284 120977 1,247,604 15,597 X X 28-5284 14888 709 91,989 1,150 X X 28-1500 1150 79,910 999 X 28-4580 999 21,917 274 X X 28-4580 274 COLUMN TOTAL 94,010,347 FILE NO. 28-1235 PAGE 93 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: ITEM 2: CUSIP 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 242,381,741 3,733,545 X 28-5284 3671440 5283 56822 111,617,865 1,719,314 X X 28-5284 1664442 30393 24479 611,027 9,412 X X 28-1500 9412 1,991,356 30,674 X 28-4580 30674 2,577,259 39,699 X X 28-4580 39240 459 ISHARES TR RUSSELL MCP VL 464287473 14,911,319 111,779 X 28-5284 108636 3143 3,845,922 28,830 X X 28-5284 27897 23 910 471,569 3,535 X 28-4580 3535 414,741 3,109 X X 28-4580 3109 ISHARES TR RUSSELL MCP GR 464287481 12,620,203 124,521 X 28-5284 119756 4765 2,831,212 27,935 X X 28-5284 26655 1280 311,347 3,072 X 28-4580 3072 3,041 30 X X 28-4580 30 ISHARES TR RUSSELL MIDCAP 464287499 21,183,738 223,764 X 28-5284 217949 5815 6,048,088 63,886 X X 28-5284 53792 10094 38,341 405 X 28-4580 405 135,851 1,435 X X 28-4580 1435 ISHARES TR S&P MIDCAP 400 464287507 15,056,065 189,910 X 28-5284 184357 5553 6,973,231 87,957 X X 28-5284 79204 6840 1913 564,156 7,116 X X 28-1500 7116 459,824 5,800 X 28-11439 5800 30,206 381 X 28-4580 381 6,342 80 X X 28-4580 80 ISHARES TR GLMN SCHS SOFT 464287515 31,140 750 X X 28-5284 750 ISHARES TR GLDM SCHS SEMI 464287523 715,525 10,976 X 28-5284 10976 60,953 935 X X 28-5284 935 17,601 270 X 28-4580 270 ISHARES TR GLDM SACHS TEC 464287549 17,014 344 X 28-5284 344 281,922 5,700 X X 28-5284 5700 ISHARES TR NASDQ BIO INDX 464287556 5,458,334 66,258 X 28-5284 64258 2000 1,198,299 14,546 X X 28-5284 13601 845 100 16,476 200 X X 28-1500 200 154,874 1,880 X 28-4580 1880 65,080 790 X X 28-4580 790 COLUMN TOTAL 453,101,662 FILE NO. 28-1235 PAGE 94 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: ITEM 2: CUSIP 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 30,409,030 354,005 X 28-5284 353241 314 450 12,473,883 145,214 X X 28-5284 138718 4860 1636 208,995 2,433 X 28-4580 2433 47,073 548 X X 28-4580 548 ISHARES TR S&P GLB100INDX 464287572 34,115 518 X 28-5284 518 33,391 507 X X 28-5284 507 ISHARES TR CONS SRVC IDX 464287580 9,958 161 X 28-5284 161 17,380 281 X X 28-5284 281 ISHARES TR RUSSELL1000VAL 464287598 35,015,303 478,940 X 28-5284 463685 15255 8,179,254 111,876 X X 28-5284 111876 82,687 1,131 X 28-4580 1131 47,083 644 X X 28-4580 644 ISHARES TR S&P MC 400 GRW 464287606 9,202,680 114,319 X 28-5284 113951 368 4,456,319 55,358 X X 28-5284 51352 424 3582 147,154 1,828 X 28-4580 1828 213,084 2,647 X X 28-4580 2647 ISHARES TR RUSSELL1000GRW 464287614 57,042,424 1,081,578 X 28-5284 1056518 25060 10,061,421 190,774 X X 28-5284 187742 3032 164,707 3,123 X 28-4580 3123 51,843 983 X X 28-4580 983 ISHARES TR RUSSELL 1000 464287622 14,452,712 204,452 X 28-5284 203352 1100 7,794,421 110,262 X X 28-5284 30152 80110 409,366 5,791 X X 28-4580 5791 ISHARES TR RUSL 2000 VALU 464287630 16,546,539 221,388 X 28-5284 220761 627 5,151,679 68,928 X X 28-5284 65607 900 2421 453,522 6,068 X 28-1500 6068 258,451 3,458 X 28-4580 3458 61,511 823 X X 28-4580 823 ISHARES TR RUSL 2000 GROW 464287648 15,253,703 191,389 X 28-5284 185689 5700 2,613,921 32,797 X X 28-5284 28116 2190 2491 455,087 5,710 X X 28-1500 5710 51,167 642 X 28-4580 642 39,850 500 X X 28-4580 500 COLUMN TOTAL 231,439,713 FILE NO. 28-1235 PAGE 95 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: ITEM 2: CUSIP 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 RUSSELL 2000 464287655 46,851,990 616,717 X 28-5284 604248 1175 11294 29,955,655 394,309 X X 28-5284 388519 3596 2194 177,390 2,335 X 28-4580 2335 996,119 13,112 X X 28-4580 13112 ISHARES TR RUSL 3000 VALU 464287663 83,903 877 X 28-5284 877 22,578 236 X X 28-5284 236 ISHARES TR RUSL 3000 GROW 464287671 50,494 1,171 X 28-5284 1171 ISHARES TR RUSSELL 3000 464287689 2,738,010 36,174 X 28-5284 36174 1,792,264 23,679 X X 28-5284 23679 36,710 485 X 28-4580 485 ISHARES TR DJ US UTILS 464287697 447,049 5,911 X 28-5284 5911 552,780 7,309 X X 28-5284 7309 15,126 200 X 28-4580 200 ISHARES TR S&P MIDCP VALU 464287705 10,020,009 130,656 X 28-5284 130117 539 3,898,690 50,837 X X 28-5284 46364 1202 3271 180,835 2,358 X 28-4580 2358 76,690 1,000 X X 28-4580 1000 ISHARES TR DJ US TELECOMM 464287713 1,159,786 44,814 X 28-5284 44651 163 453,806 17,535 X X 28-5284 17535 33,644 1,300 X 28-4580 1300 22,386 865 X X 28-4580 865 ISHARES TR DJ US TECH SEC 464287721 1,856,955 35,533 X 28-5284 35533 2,483,866 47,529 X X 28-5284 47529 ISHARES TR DJ US REAL EST 464287739 884,940 12,040 X 28-5284 12040 849,660 11,560 X X 28-5284 11560 44,100 600 X 28-4580 600 51,450 700 X X 28-4580 700 ISHARES TR DJ US INDUSTRL 464287754 50,496 800 X 28-5284 800 ISHARES TR DJ US HEALTHCR 464287762 2,718,173 42,638 X 28-5284 42238 400 1,391,981 21,835 X X 28-5284 21335 500 223,125 3,500 X 28-11439 3500 5,419 85 X 28-4580 85 27,476 431 X X 28-4580 431 COLUMN TOTAL 110,153,555 FILE NO. 28-1235 PAGE 96 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: ITEM 2: CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------------- --------- ---------- --------- ------- ------ -------- ------- --------- ------- ISHARES TR DJ US FINL SVC 464287770 1,051,463 8,821 X 28-5284 8821 453,318 3,803 X X 28-5284 3803 ISHARES TR DJ US FINL SEC 464287788 101,413 964 X 28-5284 964 426,060 4,050 X X 28-5284 4050 168,320 1,600 X 28-11439 1600 ISHARES TR DJ US ENERGY 464287796 358,740 3,893 X 28-5284 3893 222,727 2,417 X X 28-5284 2317 100 276,450 3,000 X X 28-4580 3000 ISHARES TR S&P SMLCAP 600 464287804 16,615,516 254,722 X 28-5284 247802 6920 7,650,696 117,288 X X 28-5284 108708 7590 990 581,004 8,907 X X 28-1500 8907 119,697 1,835 X 28-4580 1835 37,768 579 X X 28-4580 579 ISHARES TR CONS GOODS IDX 464287812 5,168 96 X 28-5284 96 53,830 1,000 X X 28-5284 1000 ISHARES TR DJ US BAS MATL 464287838 664,048 11,858 X 28-5284 11858 305,760 5,460 X X 28-5284 5460 ISHARES TR DJ US TOTL MKT 464287846 185,231 2,923 X 28-5284 2923 55,005 868 X X 28-5284 868 ISHARES TR S&P EURO PLUS 464287861 4,268,532 48,042 X 28-5284 48042 1,259,893 14,180 X X 28-5284 14180 343,583 3,867 X 28-4580 3867 2,599,751 29,260 X X 28-4580 29260 ISHARES TR S&P SMLCP VALU 464287879 4,672,714 64,168 X 28-5284 64168 2,297,835 31,555 X X 28-5284 28012 526 3017 187,293 2,572 X 28-4580 2572 101,948 1,400 X X 28-4580 1400 ISHARES TR S&P SMLCP GROW 464287887 10,047,122 77,560 X 28-5284 75043 2517 3,245,625 25,055 X X 28-5284 23779 444 832 110,886 856 X 28-4580 856 39,121 302 X X 28-4580 302 ISHARES TR MID GRWTH INDX 464288307 16,916 200 X 28-5284 200 COLUMN TOTAL 58,523,433 FILE NO. 28-1235 PAGE 97 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: ITEM 2: CUSIP 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 KLD SL SOC INX 464288802 2,661,032 48,400 X 28-5284 48400 54,980 1,000 X X 28-5284 1000 ISHARES TR MSCI VAL IDX 464288877 101,155 1,640 X 28-5284 1640 49,221 798 X X 28-5284 798 ISHARES TR MSCI GRW IDX 464288885 564,777 9,164 X 28-5284 9164 358,378 5,815 X X 28-5284 5653 162 ITERIS INC COM 46564T107 92,783 35,145 X X 28-5284 35145 JDS UNIPHASE CORP COM 46612J101 167,100 40,072 X 28-5284 40072 69,059 16,561 X X 28-5284 16561 834 200 X X 28-1500 200 JLG INDS INC COM 466210101 985,280 32,000 X 28-5284 32000 147,792 4,800 X X 28-5284 800 4000 1,316,457 42,756 X X 28-1500 42756 JP MORGAN CHASE & CO COM 46625H100 122,439,255 2,940,424 X 28-5284 2762402 178022 68,057,957 1,634,437 X X 28-5284 1543845 15500 75092 13,833,932 332,227 X 28-1500 301764 30463 1,097,339 26,353 X 28-4580 25585 768 1,293,630 31,067 X X 28-4580 31067 JABIL CIRCUIT INC COM 466313103 25,459 594 X 28-5284 594 12,858 300 X X 28-5284 300 JACOBS ENGR GROUP INC DEL COM 469814107 2,958,441 34,107 X 28-5284 32707 1400 4,840,092 55,800 X X 28-5284 54300 1500 JACUZZI BRANDS INC COM 469865109 4,522 460 X 28-5284 460 1,101 112 X X 28-5284 112 JAKKS PAC INC COM 47012E106 7,835 293 X 28-1500 293 JANUS CAP GROUP INC COM 47102X105 111,216 4,800 X 28-5284 4800 JAPAN EQUITY FD INC COM 471057109 17,480 1,900 X X 28-5284 1900 JAPAN SMALLER CAPTLZTN FD IN COM 47109U104 4,965 300 X 28-5284 300 4,965 300 X X 28-5284 300 COLUMN TOTAL 221,279,895 FILE NO. 28-1235 PAGE 98 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 2: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: TITLE OF CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------- --------- ----------- --------- ------- ------ -------- ------- --------- ------- JEFFERIES GROUP INC NEW COM 472319102 1,580 27 X X 28-5284 27 JEFFERSON PILOT CORP COM 475070108 3,865,006 69,092 X 28-5284 68992 100 30,711 549 X X 28-5284 449 100 11,188 200 X X 28-1500 200 JETBLUE AWYS CORP COM 477143101 19,886 1,855 X 28-5284 1855 160,800 15,000 X X 28-5284 15000 JOHNSON & JOHNSON COM 478160104 315,177,131 5,322,140 X 28-5284 5138410 183730 226,347,368 3,822,144 X X 28-5284 3732140 19185 70819 2,183,086 36,864 X 28-1500 5110 31754 6,389,956 107,902 X 28-4580 107412 490 9,151,563 154,535 X X 28-4580 152835 1700 JOHNSON CTLS INC COM 478366107 21,398,517 281,819 X 28-5284 279819 2000 7,438,179 97,961 X X 28-5284 95496 200 2265 45,558 600 X X 28-1500 600 55,884 736 X X 28-4580 736 JOHNSON OUTDOORS INC CL A 479167108 5,030 281 X 28-1500 281 JONES APPAREL GROUP INC COM 480074103 155,628 4,400 X 28-5284 900 3500 10,611 300 X X 28-5284 300 JONES SODA CO COM 48023P106 825 100 X X 28-5284 100 JOS A BANK CLOTHIERS INC COM 480838101 29,969 625 X 28-5284 625 JOURNAL REGISTER CO COM 481138105 59,682 4,900 X 28-5284 4900 52,374 4,300 X X 28-5284 1500 2800 JOY GLOBAL INC COM 481165108 42,018 703 X 28-5284 703 1,332,273 22,290 X X 28-5284 22260 30 JUNIPER NETWORKS INC COM 48203R104 3,136,770 164,057 X 28-5284 164057 998,523 52,224 X X 28-5284 50639 1200 385 48,947 2,560 X 28-4580 2560 15,870 830 X X 28-4580 830 JUPITERMEDIA CORP COM 48207D101 102,486 5,700 X X 28-5284 5700 KCS ENERGY INC COM 482434206 6,500 250 X 28-5284 250 COLUMN TOTAL 598,273,919 FILE NO. 28-1235 PAGE 99 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 2: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: TITLE OF CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------- --------- ---------- --------- ------- ------ -------- ------- --------- ------- KKR FINL CORP COM 482476306 688,601 30,700 X X 28-5284 30700 KLA-TENCOR CORP COM 482480100 109,777 2,270 X 28-5284 2270 8,705 180 X X 28-5284 180 15,620 323 X X 28-1500 323 K SEA TRANSN PARTNERS LP COM 48268Y101 16,750 500 X 28-5284 500 K-SWISS INC CL A 482686102 3,496 116 X 28-5284 116 12,056 400 X X 28-1500 400 KNBT BANCORP INC COM 482921103 40,957 2,505 X 28-5284 2505 KANSAS CITY COM SOUTHERN NEW 485170302 17,290 700 X 28-5284 700 271,700 11,000 X X 28-5284 11000 KAYNE ANDERSON ENRGY TTL RT COM 48660P104 92,000 4,000 X 28-5284 4000 KAYNE ANDERSON MLP INVSMNT C COM 486606106 25,980 1,000 X X 28-5284 1000 KB HOME COM 48666K109 12,996 200 X X 28-5284 200 KEANE INC COM 486665102 172,604 10,959 X 28-5284 10959 KELLOGG CO COM 487836108 3,140,580 71,312 X 28-5284 56716 14596 808,971 18,369 X X 28-5284 17119 300 950 435,996 9,900 X X 28-1500 9900 70,464 1,600 X 28-4580 1600 88,080 2,000 X X 28-4580 800 1200 KELLWOOD CO COM 488044108 3,139 100 X 28-5284 100 KELLY SVCS INC CL A 488152208 461 17 X X 28-5284 17 KENNAMETAL INC COM 489170100 80,705 1,320 X 28-5284 1320 700,970 11,465 X X 28-5284 11465 KERR MCGEE CORP COM 492386107 1,138,408 11,923 X 28-5284 11923 3,040,370 31,843 X X 28-5284 31843 5,442 57 X X 28-1500 57 KEWAUNEE SCIENTIFIC CORP COM 492854104 4,216 484 X 28-1500 484 COLUMN TOTAL 11,006,334 FILE NO. 28-1235 PAGE 100 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: ITEM 2: CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------------- --------- ----------- --------- ------- ------ -------- ------- --------- ------- KEYCORP NEW COM 493267108 599,214 16,283 X 28-5284 15273 1010 1,162,696 31,595 X X 28-5284 31575 20 13,262,720 360,400 X 28-1500 360400 KEYNOTE SYS INC COM 493308100 6,864 600 X X 28-5284 600 KEYSPAN CORP COM 49337W100 329,167 8,054 X 28-5284 8054 1,038,507 25,410 X X 28-5284 24530 880 21,579 528 X 28-4580 528 KIMBALL INTL INC CL B 494274103 6,918 460 X 28-1500 460 KIMBERLY CLARK CORP COM 494368103 44,421,901 768,545 X 28-5284 763551 4994 30,773,992 532,422 X X 28-5284 516062 400 15960 659,556 11,411 X 28-1500 11411 131,148 2,269 X 28-4580 2269 454,886 7,870 X X 28-4580 7870 KIMCO REALTY CORP COM 49446R109 1,061,151 26,111 X 28-5284 25451 660 348,772 8,582 X X 28-5284 7182 1400 KINDER MORGAN INC KANS COM 49455P101 44,013,995 478,465 X 28-5284 469492 8973 23,064,469 250,728 X X 28-5284 241818 4395 4515 821,287 8,928 X 28-4580 8618 310 419,474 4,560 X X 28-4580 4534 26 KINDER MORGAN ENERGY PARTNER UT LTD PARTNER 494550106 856,592 17,779 X 28-5284 17779 3,888,801 80,714 X X 28-5284 79914 800 163,812 3,400 X 28-1500 3400 KINDRED HEALTHCARE INC COM 494580103 11,318 450 X 28-5284 450 89,333 3,552 X X 28-5284 3552 KING PHARMACEUTICALS INC COM 495582108 12,075 700 X 28-5284 700 4,313 250 X X 28-5284 250 8,711 505 X X 28-1500 505 KINROSS GOLD CORP COM NO PAR 496902404 21,860 2,000 X 28-5284 2000 10,296 942 X X 28-5284 942 KNAPE & VOGT MFG CO COM 498782101 198,493 10,712 X 28-1500 10712 KNIGHT CAPITAL GROUP INC CL A 499005106 27,860 2,000 X 28-5284 2000 COLUMN TOTAL 167,891,760 FILE NO. 28-1235 PAGE 101 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: ITEM 2: CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------------- --------- ---------- --------- ------- ------ -------- ------- --------- ------- KNIGHT RIDDER INC COM 499040103 689,305 10,905 X 28-5284 9905 1000 598,093 9,462 X X 28-5284 7962 1500 KNIGHT TRANSN INC COM 499064103 3,911 198 X 28-5284 198 KNOLOGY INC COM 499183804 4,837,914 708,333 X 708333 KOHLS CORP COM 500255104 8,405,266 158,560 X 28-5284 149660 8900 1,555,154 29,337 X X 28-5284 29077 260 15,903 300 X 28-1500 300 2,120 40 X 28-4580 40 KOMAG INC COM NEW 500453204 866,320 18,200 X X 28-5284 18200 KONINKLIJKE PHILIPS ELECTRS NY REG SH NEW 500472303 80,996 2,407 X 28-5284 1693 714 75,309 2,238 X X 28-5284 2238 KOPIN CORP COM 500600101 5,010 1,000 X X 28-5284 1000 KOREA EQUITY FD INC COM 50063B104 9,990 900 X 28-5284 900 KOREA ELECTRIC PWR SPONSORED ADR 500631106 19,440 900 X 28-5284 900 129,600 6,000 X X 28-5284 6000 KOREA FD COM 500634100 233,134 6,119 X 28-5284 200 5919 KORN FERRY INTL COM NEW 500643200 126,275 6,193 X 28-5284 6193 KOS PHARMACEUTICALS INC COM 500648100 40,605 850 X X 28-5284 200 650 KRAFT FOODS INC CL A 50075N104 843,224 27,820 X 28-5284 27420 400 879,293 29,010 X X 28-5284 28810 200 9,093 300 X X 28-4580 300 KRISPY KREME DOUGHNUTS INC COM 501014104 449 50 X 28-5284 50 4,131 460 X X 28-5284 460 KROGER CO COM 501044101 1,366,543 67,119 X 28-5284 67119 594,492 29,199 X X 28-5284 29199 85,247 4,187 X X 28-1500 4187 KRONOS WORLDWIDE INC COM 50105F105 7,985 263 X 28-5284 263 KULICKE & SOFFA INDS INC COM 501242101 4,770 500 X X 28-5284 500 COLUMN TOTAL 21,489,572 FILE NO. 28-1235 PAGE 102 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: ITEM 2: CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------------- --------- ---------- --------- ------- ------ -------- ------- --------- ------- KYOCERA CORP ADR 501556203 39,659 450 X X 28-5284 450 LCA-VISION INC COM PAR $.001 501803308 42,994 858 X 28-1500 858 LKQ CORP COM 501889208 1,436 69 X 28-1500 69 LL & E RTY TR UNIT BEN INT 502003106 3,016 1,300 X X 28-5284 1300 LSB CORP COM 50215P100 305,150 17,000 X X 28-5284 17000 LSI LOGIC CORP COM 502161102 72,805 6,298 X 28-5284 5998 300 27,744 2,400 X X 28-5284 2400 LTC PPTYS INC COM 502175102 605,923 26,050 X 28-5284 26050 55,824 2,400 X X 28-1500 2400 L-3 COMMUNICATIONS HLDGS INC COM 502424104 5,450,239 63,530 X 28-5284 45580 17950 1,472,242 17,161 X X 28-5284 12131 550 4480 87,506 1,020 X X 28-1500 1020 LABORATORY CORP AMER HLDGS COM NEW 50540R409 82,457 1,410 X 28-5284 1260 150 76,024 1,300 X X 28-5284 1300 LABRANCHE & CO INC COM 505447102 577,065 36,500 X X 28-5284 36500 LACLEDE GROUP INC COM 505597104 75,724 2,200 X 28-5284 2200 LADENBURG THALMAN FIN SVCS I COM 50575Q102 15,898 11,040 X 28-5284 11040 8,032 5,578 X X 28-5284 5578 LAFARGE COPPEE S A SPON ADR NEW 505861401 20,626 725 X 28-5284 725 LAFARGE NORTH AMERICA INC COM 505862102 8,400 100 X 28-5284 100 LAKELAND BANCORP INC COM 511637100 254,422 16,351 X 28-5284 16351 LAM RESEARCH CORP COM 512807108 6,211,522 144,454 X 28-5284 143429 1025 3,283,609 76,363 X X 28-5284 70768 3160 2435 196,037 4,559 X 28-4580 4559 60,673 1,411 X X 28-4580 1411 LAMAR ADVERTISING CO CL A 512815101 58,502 1,112 X X 28-5284 1100 12 COLUMN TOTAL 19,093,529 FILE NO. 28-1235 PAGE 103 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 2: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: TITLE OF CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------- --------- --------- --------- ------- ------ -------- ------- --------- ------- LANCASTER COLONY CORP COM 513847103 105,000 2,500 X X 28-5284 2500 LANCE INC COM 514606102 22,500 1,000 X X 28-5284 1000 19,035 846 X 28-1500 846 LANDAUER INC COM 51476K103 23,403 466 X 28-5284 466 38,820 773 X X 28-5284 773 LANDAMERICA FINL GROUP INC COM 514936103 12,688 187 X X 28-5284 187 LANDSTAR SYS INC COM 515098101 1,034,614 23,450 X X 28-5284 23450 91,328 2,070 X X 28-1500 2070 LANTRONIX INC COM 516548104 157,035 67,109 X X 28-5284 67109 LANVISION SYS INC COM 516555109 47,472 6,900 X X 28-5284 6900 12,639 1,837 X X 28-1500 1837 LAS VEGAS SANDS CORP COM 517834107 2,210 39 X X 28-4580 9 30 LASERCARD CORP COM 51807U101 23,063 1,025 X X 28-5284 1025 LASERSCOPE COM 518081104 23,650 1,000 X X 28-5284 1000 LATIN AMER EQUITY FD INC NEW COM 51827Q106 8,933 250 X 28-5284 250 LATIN AMERN DISCOVERY FD INC COM 51828C106 243,898 9,176 X 28-5284 9176 LAUDER ESTEE COS INC CL A 518439104 394,772 10,615 X 28-5284 10615 13,760 370 X X 28-5284 370 18,595 500 X X 28-1500 500 LAUREATE EDUCATION INC COM 518613104 2,134 40 X 28-5284 40 LAWSON PRODS INC COM 520776105 18,582 454 X 28-5284 454 28,651 700 X X 28-5284 700 LAYNE CHRISTENSEN CO COM 521050104 3,352 100 X 28-5284 100 3,352 100 X X 28-5284 100 LEAPFROG ENTERPRISES INC CL A 52186N106 5,310 500 X 28-5284 500 COLUMN TOTAL 2,354,796 FILE NO. 28-1235 PAGE 104 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 2: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: TITLE OF CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------- --------- ---------- --------- ------- ------ -------- ------- --------- ------- LEE ENTERPRISES INC COM 523768109 136,489 4,100 X 28-5284 2400 1700 111,522 3,350 X X 28-5284 1300 2050 LEGGETT & PLATT INC COM 524660107 5,605 230 X 28-5284 230 59,414 2,438 X X 28-5284 2238 200 LEGG MASON INC COM 524901105 19,932,609 159,041 X 28-5284 158506 535 9,149,967 73,007 X X 28-5284 69132 1380 2495 300,165 2,395 X 28-4580 2395 119,064 950 X X 28-4580 950 LEHMAN BROS HLDGS INC COM 524908100 24,924,199 172,450 X 28-5284 169570 2880 21,675,309 149,971 X X 28-5284 146895 350 2726 36,133 250 X 28-1500 250 2,891 20 X 28-4580 20 245,701 1,700 X X 28-4580 1700 LENNAR CORP CL A 526057104 111,703 1,850 X 28-5284 1850 117,077 1,939 X X 28-5284 1925 14 LENNOX INTL INC COM 526107107 2,986 100 X 28-5284 100 LEUCADIA NATL CORP COM 527288104 125,286 2,100 X 28-5284 2100 372,875 6,250 X X 28-5284 6250 LEVEL 3 COMMUNICATIONS INC COM 52729N100 145,040 28,000 X 28-5284 28000 25,900 5,000 X X 28-5284 5000 LEVITT CORP CL A 52742P108 7,714 350 X 28-5284 350 LEXINGTON CORP PPTYS TR COM 529043101 179,998 8,633 X 28-5284 283 8350 72,495 3,477 X X 28-5284 3477 LEXMARK INTL NEW CL A 529771107 150,662 3,320 X 28-5284 3320 41,523 915 X X 28-5284 915 LIBERTY ALL-STAR GROWTH FD I COM 529900102 17,212 3,041 X 28-5284 3041 LIBERTY ALL STAR SH EQUITY FD BEN INT 530158104 8,938 1,073 X 28-5284 1073 17,518 2,103 X X 28-5284 2103 COLUMN TOTAL 78,095,995 FILE NO. 28-1235 PAGE 105 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 2: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: TITLE OF CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- ---------- --------- ---------- --------- ------- ------ -------- ------- --------- ------- LIBERTY GLOBAL INC COM SER A 530555101 883,526 43,162 X 28-5284 5762 37400 248,096 12,120 X X 28-5284 1229 10891 24,564 1,200 X 28-1500 1200 LIBERTY GLOBAL INC COM SER C 530555309 1,055,875 53,462 X 28-5284 5762 47700 235,084 11,903 X X 28-5284 1012 10891 23,700 1,200 X 28-1500 1200 LIBERTY MEDIA CORP NEW COM SER A 530718105 3,607,868 439,448 X 28-5284 70148 369300 995,208 121,219 X X 28-5284 31481 89738 357,299 43,520 X 28-1500 43520 LIBERTY PPTY TR SH BEN INT 531172104 23,580 500 X 28-5284 500 752,485 15,956 X X 28-5284 15950 6 LIFEPOINT HOSPITALS INC COM 53219L109 18,442 593 X 28-5284 562 31 404 13 X X 28-5284 13 LIFELINE SYS INC COM 532192101 223,423 4,680 X X 28-5284 4680 LILLY ELI & CO COM 532457108 22,048,995 398,716 X 28-5284 373727 24989 22,253,162 402,408 X X 28-5284 378478 23930 55,300 1,000 X 28-1500 1000 160,370 2,900 X 28-4580 2900 608,300 11,000 X X 28-4580 11000 LIMITED BRANDS INC COM 532716107 246,263 10,068 X 28-5284 1268 8800 17,391 711 X X 28-5284 711 6,971 285 X 28-4580 285 LINCARE HLDGS INC COM 532791100 3,896 100 X 28-5284 100 35,064 900 X X 28-5284 900 LINCOLN EDL SVCS CORP COM 533535100 1,881,450 111,000 X 28-5284 111000 LINCOLN ELEC HLDGS INC COM 533900106 5,399 100 X 28-5284 100 LINCOLN NATL CORP IND COM 534187109 145,810 2,671 X 28-5284 1871 800 334,637 6,130 X X 28-5284 6030 100 10,918 200 X X 28-1500 200 COLUMN TOTAL 56,263,480 FILE NO. 28-1235 PAGE 106 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: ITEM 2: CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------------- --------- ---------- --------- ------- ------ -------- ------- --------- ------- LINEAR TECHNOLOGY CORP COM 535678106 2,617,038 74,602 X 28-5284 73602 1000 966,980 27,565 X X 28-5284 20705 1610 5250 15,786 450 X 28-4580 450 17,540 500 X X 28-4580 500 LIONS GATE ENTMNT CORP COM NEW 535919203 1,015 100 X 28-5284 100 LIVE NATION INC COM 538034109 30,018 1,513 X 28-5284 1477 36 24,483 1,234 X X 28-5284 1209 25 496 25 X X 28-1500 25 496 25 X 28-4580 25 LIZ CLAIBORNE INC COM 539320101 3,929,039 95,877 X 28-5284 95577 300 3,357,532 81,931 X X 28-5284 80861 150 920 59,421 1,450 X 28-4580 1450 94,295 2,301 X X 28-4580 2301 LLOYDS TSB GROUP PLC SPONSORED ADR 539439109 206,306 5,360 X X 28-5284 5360 LOCKHEED MARTIN CORP COM 539830109 1,941,284 25,839 X 28-5284 25839 4,918,385 65,465 X X 28-5284 63315 2150 6,611 88 X X 28-4580 88 LOEWS CORP COM 540424108 3,542 35 X 28-5284 35 324,346 3,205 X X 28-5284 2405 800 40,480 400 X X 28-4580 400 LOEWS CORP CAROLNA GP STK 540424207 3,356 71 X 28-5284 71 151,264 3,200 X X 28-5284 3200 23,635 500 X X 28-1500 500 LOGITECH INTERNATIONAL S A SPONSORED ADR 541419107 19,890 500 X X 28-5284 500 LONGS DRUG STORES CORP COM 543162101 18,512 400 X 28-5284 400 LONGVIEW FIBRE CO COM 543213102 32,300 1,250 X X 28-5284 1250 LORAL SPACE & COMMUNICATNS L COM 543881106 633 22 X 28-5284 22 LOUDEYE CORP COM 545754103 567 1,112 X 28-5284 1112 LOUISIANA PAC CORP COM 546347105 35,414 1,302 X 28-5284 1302 198,886 7,312 X X 28-5284 7312 COLUMN TOTAL 19,039,550 FILE NO. 28-1235 PAGE 107 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: ITEM 2: CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------------- --------- ----------- --------- ------- ------ -------- ------- --------- ------- LOWES COS INC COM 548661107 63,610,593 987,129 X 28-5284 972802 14327 27,847,682 432,149 X X 28-5284 412626 3600 15923 220,707 3,425 X 28-1500 3425 96,660 1,500 X 28-11439 1500 1,067,255 16,562 X 28-4580 16247 315 532,790 8,268 X X 28-4580 8129 139 LUBRIZOL CORP COM 549271104 225,177 5,255 X 28-5284 2585 2670 537,553 12,545 X X 28-5284 11245 1300 12,898 301 X X 28-1500 301 LUCENT TECHNOLOGIES INC COM 549463107 272,701 89,410 X 28-5284 86068 3342 896,032 293,781 X X 28-5284 288445 5336 1,110 364 X 28-1500 364 75,030 24,600 X 28-11439 24600 11,474 3,762 X 28-4580 3762 9,967 3,268 X X 28-4580 3268 LUFKIN INDS INC COM 549764108 27,720 500 X X 28-5284 100 400 LUXOTTICA GROUP S P A SPONSORED ADR 55068R202 54,980 2,000 X X 28-1500 2000 LYONDELL CHEMICAL CO COM 552078107 11,940 600 X 28-5284 600 506,694 25,462 X X 28-5284 8061 17401 M & F WORLDWIDE CORP COM 552541104 200 14 X 28-5284 14 M & T BK CORP COM 55261F104 23,484,419 205,751 X 28-5284 201393 4358 10,760,777 94,277 X X 28-5284 90977 1600 1700 556,318 4,874 X 28-4580 4671 203 201,914 1,769 X X 28-4580 1729 40 MBIA INC COM 55262C100 10,319,030 171,612 X 28-5284 168012 3600 4,191,963 69,715 X X 28-5284 69235 150 330 62,475 1,039 X X 28-1500 1039 6,614 110 X X 28-4580 110 MBIA CAP CLAYMORE MNG DUR IN COM 55266X100 28,911 2,264 X X 28-5284 2264 M D C HLDGS INC COM 552676108 1,029 16 X X 28-5284 16 MDU RES GROUP INC COM 552690109 336,273 10,053 X 28-5284 10053 206,286 6,167 X X 28-5284 6017 150 COLUMN TOTAL 146,175,172 FILE NO. 28-1235 PAGE 108 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 2: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: TITLE OF CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- ---------- --------- --------- --------- ------- ------ -------- ------- --------- ------- MEMC ELECTR MATLS INC COM 552715104 14,768 400 X X 28-5284 400 MFS CHARTER INCOME TR SH BEN INT 552727109 43,784 5,200 X X 28-5284 5200 MFS INTER INCOME TR SH BEN INT 55273C107 114,453 18,580 X 28-5284 18580 MFS MUN INCOME TR SH BEN INT 552738106 4,035 500 X 28-5284 500 48,420 6,000 X X 28-5284 6000 MGE ENERGY INC COM 55277P104 23,093 696 X X 28-5284 696 MGIC INVT CORP WIS COM 552848103 93,282 1,400 X 28-5284 1400 439,758 6,600 X X 28-5284 6600 MFS GOVT MKTS INCOME TR SH BEN INT 552939100 6,380 1,000 X 28-5284 1000 MGM MIRAGE COM 552953101 310,248 7,200 X 28-5284 4200 3000 293,012 6,800 X X 28-5284 2600 4200 791,132 18,360 X 28-11439 18360 2,542 59 X X 28-4580 6 53 MPS GROUP INC COM 553409103 30,600 2,000 X 28-5284 2000 MSC INDL DIRECT INC CL A 553530106 29,711 550 X 28-5284 550 27,010 500 X X 28-5284 500 MTS SYS CORP COM 553777103 167,320 4,000 X 28-5284 4000 MVC CAPITAL INC COM 553829102 6,100 500 X 28-5284 500 MACK CALI RLTY CORP COM 554489104 103,200 2,150 X 28-5284 2150 256,320 5,340 X X 28-5284 4340 1000 MACQUARIE FT TR GB INF UT DI COM 55607W100 26,798 1,199 X 28-5284 1199 MACQUARIE INFRASTRUCTURE CO SH BEN INT 55607X108 56,875 1,750 X 28-5284 1750 139,750 4,300 X X 28-5284 4300 MADISON CLAYMORE CVRD CALL F COM 556582104 29,460 2,000 X X 28-5284 2000 25,041 1,700 X X 28-1500 1700 MAGELLAN HEALTH SVCS INC COM NEW 559079207 9,106 225 X X 28-5284 225 COLUMN TOTAL 3,092,198 FILE NO. 28-1235 PAGE 109 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 2: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: TITLE OF CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- ----------- --------- ---------- --------- ------- ------ -------- ------- --------- ------- MAGELLAN MIDSTREAM COM UNIT RP PRTNRS LP LP 559080106 52,592 1,600 X 28-5284 1600 182,429 5,550 X X 28-5284 5550 MAGNA ENTMT CORP CL A 559211107 5,772 850 X X 28-5284 850 MAGNETEK INC COM 559424106 41,288 10,400 X 28-5284 10400 MAGUIRE PPTYS INC COM 559775101 36,500 1,000 X X 28-5284 1000 MAINSOURCE FINANCIAL GP INC COM 56062Y102 222,207 11,757 X 28-5284 11757 1,173,577 62,094 X 28-1500 62094 MANAGED MUNS PORTFOLIO INC COM 561662107 14,222 1,300 X 28-5284 1300 54,700 5,000 X X 28-5284 5000 MANITOWOC INC COM 563571108 264,335 2,900 X 28-5284 2900 MANNKIND CORP COM 56400P201 2,044 100 X 28-1500 100 MANOR CARE INC NEW COM 564055101 33,263 750 X X 28-4580 750 MANPOWER INC COM 56418H100 11,436 200 X X 28-5284 200 MANULIFE FINL CORP COM 56501R106 4,477,510 71,332 X 28-5284 69970 1362 1,738,227 27,692 X X 28-5284 25857 1835 MARATHON OIL CORP COM 565849106 17,026,966 223,539 X 28-5284 212225 11314 2,721,859 35,734 X X 28-5284 33709 1400 625 21,251 279 X 28-1500 279 295,540 3,880 X 28-4580 3747 133 58,575 769 X X 28-4580 769 MARCUS CORP COM 566330106 11,970 600 X 28-5284 600 MARINE PRODS CORP COM 568427108 13,188 1,200 X X 28-5284 1200 MARINER ENERGY INC COM 56845T305 4,922 240 X X 28-1500 240 MARITRANS INC COM 570363101 73,290 3,000 X X 28-5284 3000 COLUMN TOTAL 28,537,663 FILE NO. 28-1235 PAGE 110 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 2: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: TITLE OF CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- ------------ --------- ---------- --------- ------- ------ -------- ------- --------- ------- MARSH & MCLENNAN COS INC COM 571748102 2,600,944 88,588 X 28-5284 88588 1,325,398 45,143 X X 28-5284 44543 600 90,664 3,088 X 28-4580 3088 317,323 10,808 X X 28-4580 10808 MARSHALL & ILSLEY CORP COM 571834100 70,730 1,623 X 28-5284 1623 2,571 59 X X 28-5284 59 MARRIOTT INTL INC NEW CL A 571903202 47,335,441 690,021 X 28-5284 678976 11045 29,794,764 434,326 X X 28-5284 420934 7415 5977 1,677,201 24,449 X 28-4580 24319 130 406,592 5,927 X X 28-4580 5815 112 MARTEK BIOSCIENCES CORP COM 572901106 7,058 215 X 28-5284 215 MARTHA STEWART LIVING OMNIME CL A 573083102 3,370 200 X 28-5284 200 15,165 900 X X 28-5284 800 100 8,425 500 X X 28-4580 500 MARTIN MARIETTA MATLS INC COM 573284106 79,951 747 X 28-5284 747 266,077 2,486 X X 28-5284 2486 MARTIN MIDSTREAM PRTNRS L P UNIT L P INT 573331105 9,360 300 X 28-5284 300 MASCO CORP COM 574599106 4,216,390 129,775 X 28-5284 117325 12450 1,737,598 53,481 X X 28-5284 51981 1500 MASSEY ENERGY CORP COM 576206106 36,070 1,000 X 28-5284 1000 58,938 1,634 X X 28-5284 1634 6,853 190 X X 28-1500 190 8,631,551 239,300 X 28-11439 239300 MASSMUTUAL CORPORATE INVS IN COM 576292106 12,960 400 X X 28-5284 400 MASSMUTUAL PARTN INVS SH BEN INT 576299101 72,889 5,115 X 28-5284 5115 MATRIXX INITIATIVES INC COM 57685L105 3,495 150 X 28-5284 150 MATSUSHITA ELEC INDL ADR 576879209 76,782 3,468 X 28-5284 2418 1050 218,079 9,850 X X 28-5284 3850 6000 COLUMN TOTAL 99,082,639 FILE NO. 28-1235 PAGE 111 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: ITEM 2: CUSIP 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 13,980,659 771,134 X 28-5284 715784 55350 626,827 34,574 X X 28-5284 16174 5500 12900 275,902 15,218 X 28-1500 15218 14,160 781 X X 28-4580 781 MATTHEWS INTL CORP CL A 577128101 241,038 6,300 X 28-5284 6300 179,822 4,700 X X 28-5284 4700 MAXIM INTEGRATED PRODS INC COM 57772K101 327,663 8,820 X 28-5284 8820 31,949 860 X X 28-5284 860 1,560 42 X X 28-1500 42 MAYTAG CORP COM 578592107 69,323 3,250 X 28-5284 3250 42,660 2,000 X X 28-5284 2000 MBT FINL CORP COM 578877102 26,208 1,560 X 28-5284 1560 MCAFEE INC COM 579064106 50,290 2,067 X 28-5284 2067 7,299 300 X X 28-5284 300 MCCLATCHY CO CL A 579489105 193,690 3,965 X 28-5284 3065 900 153,878 3,150 X X 28-5284 1750 1400 MCCORMICK & CO INC COM NON VTG 579780206 10,533,507 311,090 X 28-5284 307290 3800 10,603,835 313,167 X X 28-5284 301867 4800 6500 32,506 960 X X 28-1500 960 88,205 2,605 X 28-4580 2605 115,361 3,407 X X 28-4580 3407 MCDATA CORP CL A 580031201 102 22 X X 28-5284 22 MCDERMOTT INTL INC COM 580037109 70,785 1,300 X X 28-5284 1300 MCDONALDS CORP COM 580135101 44,745,276 1,302,249 X 28-5284 1222449 79800 25,013,530 727,984 X X 28-5284 667700 7900 52384 97,067 2,825 X X 28-1500 2825 492,379 14,330 X 28-4580 14160 170 101,877 2,965 X X 28-4580 2965 COLUMN TOTAL 108,117,358 FILE NO. 28-1235 PAGE 112 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 2: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: TITLE OF CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------- --------- ----------- --------- ------- ------ -------- ------- --------- ------- MCGRAW HILL COS INC COM 580645109 59,657,501 1,035,361 X 28-5284 1025302 10059 54,202,097 940,682 X X 28-5284 914515 8090 18077 345,720 6,000 X X 28-1500 6000 1,132,348 19,652 X 28-4580 19652 321,635 5,582 X X 28-4580 5582 MCKESSON CORP COM 58155Q103 1,267,802 24,320 X 28-5284 24320 110,776 2,125 X X 28-5284 2125 180,266 3,458 X X 28-1500 3458 MCMORAN EXPLORATION CO COM 582411104 1,320 74 X X 28-5284 74 MEADWESTVACO CORP COM 583334107 382,449 14,004 X 28-5284 14004 274,138 10,038 X X 28-5284 4338 5700 MEASUREMENT SPECIALTIES INC COM 583421102 11,768 450 X 28-5284 450 144,923 5,542 X X 28-5284 5542 MEDAREX INC COM 583916101 145,420 11,000 X 28-5284 11000 13,220 1,000 X X 28-5284 1000 MEDCO HEALTH SOLUTIONS INC COM 58405U102 7,806,067 136,422 X 28-5284 131944 4478 14,848,647 259,501 X X 28-5284 254743 170 4588 53,615 937 X 28-1500 937 12,703 222 X 28-4580 222 247,705 4,329 X X 28-4580 4100 229 MEDIA GEN INC CL A 584404107 267,599 5,740 X 28-5284 5240 500 158,508 3,400 X X 28-5284 2500 900 MEDICIS PHARMACEUTICAL CORP CL A NEW 584690309 333,302 10,224 X 28-5284 10224 48,085 1,475 X X 28-5284 275 1200 MEDIMMUNE INC COM 584699102 42,945 1,174 X 28-5284 1174 26,703 730 X X 28-5284 711 19 MEDIS TECHNOLOGIES LTD COM 58500P107 310,709 13,318 X 28-5284 13318 MEDTRONIC INC COM 585055106 71,342,675 1,405,767 X 28-5284 1356010 49757 47,577,770 937,493 X X 28-5284 903743 13400 20350 43,138 850 X 28-1500 850 625,443 12,324 X 28-4580 11851 473 595,907 11,742 X X 28-4580 11706 36 COLUMN TOTAL 262,532,904 FILE NO. 28-1235 PAGE 113 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 2: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: TITLE OF CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------- --------- ----------- --------- ------- ------ -------- ------- --------- ------- MELLON FINL CORP COM 58551A108 8,017,654 225,215 X 28-5284 225045 170 3,997,844 112,299 X X 28-5284 112299 42,720 1,200 X X 28-4580 1200 MEMORY PHARMACEUTICALS CORP COM 58606R403 12,456 4,500 X X 28-5284 4500 MENS WEARHOUSE INC COM 587118100 12,112 337 X 28-5284 337 114,361 3,182 X X 28-1500 3182 MENTOR CORP MINN COM 587188103 4,531 100 X X 28-5284 100 MENTOR GRAPHICS CORP COM 587200106 6,089 551 X 28-5284 551 MERCANTILE BANK CORP COM 587376104 35,190 900 X 28-5284 900 20,528 525 X 28-4580 525 MERCANTILE BANKSHARES CORP COM 587405101 1,095,825 28,500 X 28-5284 27300 1200 419,105 10,900 X X 28-5284 6750 4150 43,256 1,125 X X 28-1500 1125 MERCHANTS BANCSHARES COM 588448100 24,550 1,000 X X 28-5284 1000 MERCK & CO INC COM 589331107 104,174,300 2,956,977 X 28-5284 2914600 42377 163,048,668 4,628,120 X X 28-5284 4581109 9375 37636 208,843 5,928 X 28-1500 5928 884,555 25,108 X 28-4580 24801 307 3,177,993 90,207 X X 28-4580 87107 3100 MEREDITH CORP COM 589433101 11,158 200 X X 28-5284 200 MERIDIAN BIOSCIENCE INC COM 589584101 20,235 750 X 28-5284 750 1,304,483 48,350 X X 28-5284 48350 20,073 744 X 28-1500 444 300 MERGE TECHNOLOGIES INC COM 589981109 70,076 4,388 X X 28-5284 4388 MERITAGE HOMES CORP COM 59001A102 660 12 X X 28-5284 12 MERRILL LYNCH & CO INC DEBT 10 590188P51 1,150,000 10,000 X 28-5284 10000 COLUMN TOTAL 287,917,265 FILE NO. 28-1235 PAGE 114 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 2: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: TITLE OF CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------- --------- ----------- --------- ------- ------ -------- ------- --------- ------- MERRILL LYNCH & CO INC COM 590188108 34,367,635 436,359 X 28-5284 426573 9786 36,199,829 459,622 X X 28-5284 446882 1500 11240 573,688 7,284 X 28-4580 7144 140 70,096 890 X X 28-4580 890 METLIFE INC COM 59156R108 11,649,866 240,849 X 28-5284 231044 9805 2,669,927 55,198 X X 28-5284 51647 1200 2351 292,058 6,038 X 28-4580 5679 359 56,690 1,172 X X 28-4580 1172 METROLOGIC INSTRS INC COM 591676101 11,565 500 X 28-5284 500 MICROS SYS INC COM 594901100 9,214 200 X 28-5284 200 MICROSOFT CORP COM 594918104 178,491,831 6,559,788 X 28-5284 6289009 270779 97,857,255 3,596,371 X X 28-5284 3407987 36445 151939 1,672,680 61,473 X 28-1500 12884 48589 2,834,711 104,179 X 28-4580 102899 1280 2,625,547 96,492 X X 28-4580 96332 160 MICROCHIP TECHNOLOGY INC COM 595017104 99,172 2,732 X 28-5284 2732 39,749 1,095 X X 28-5284 205 890 MICRON TECHNOLOGY INC COM 595112103 5,446 370 X 28-5284 370 1,472 100 X 28-4580 100 MICROSEMI CORP COM 595137100 1,121,026 38,510 X X 28-5284 38510 MID PENN BANCORP INC COM 59540G107 28,569 1,070 X X 28-5284 1070 MIDAS GROUP INC COM 595626102 5,992 274 X 28-5284 274 17,299 791 X X 28-5284 791 MIDCAP SPDR TR UNIT SER 1 595635103 71,997,110 497,355 X 28-5284 494419 2936 38,806,392 268,074 X X 28-5284 252832 14051 1191 1,076,001 7,433 X 28-4580 7433 2,018,099 13,941 X X 28-4580 13641 300 MIDDLEBY CORP COM 596278101 853,944 10,200 X X 28-5284 10200 MIDDLESEX WATER CO COM 596680108 101,007 5,333 X X 28-5284 5333 MIDLAND CO COM 597486109 4,897 140 X X 28-1500 140 COLUMN TOTAL 485,558,767 FILE NO. 28-1235 PAGE 115 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: ITEM 2: CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------------- --------- --------- --------- ------- ------ -------- ------- --------- ------- MILACRON INC COM 598709103 570,059 354,074 X 28-5284 354074 273,748 170,030 X X 28-5284 170030 MILLENNIUM PHARMACEUTICALS I COM 599902103 25,225 2,500 X 28-5284 2500 43,760 4,337 X X 28-5284 4337 18,243 1,808 X 28-1500 1808 MILLENNIUM CELL INC COM 60038B105 8,000 5,000 X 28-5284 5000 MILLER HERMAN INC COM 600544100 97,200 3,000 X 28-5284 3000 MILLER INDS INC TENN COM NEW 600551204 10,200 400 X 28-5284 400 MILLIPORE CORP COM 601073109 367,200 5,026 X 28-5284 5026 608,736 8,332 X X 28-5284 8332 MILLS CORP COM 601148109 23,800 850 X 28-5284 850 36,400 1,300 X X 28-5284 1300 MINDSPEED TECHNOLOGIES INC COM 602682106 529 133 X 28-5284 133 792 199 X X 28-5284 66 133 MINE SAFETY APPLIANCES CO COM 602720104 5,626,740 133,970 X 28-5284 133970 350,700 8,350 X X 28-5284 1300 7050 MIRANT CORP NEW COM 60467R100 3,600 144 X 28-5284 144 2,675 107 X X 28-5284 107 MIRANT CORP NEW *W EXP 01/03/2 60467R118 143 14 X 28-5284 14 510 50 X X 28-5284 50 MITSUBISHI UFJ FINL GROUP IN SPONSORED ADR 606822104 60,840 4,000 X 28-5284 4000 163,508 10,750 X X 28-5284 10000 750 MOBILE TELESYSTEMS OJSC SPONSORED ADR 607409109 3,310 100 X X 28-4580 100 MOHAWK INDS INC COM 608190104 888 11 X X 28-5284 11 MOLEX INC COM 608554101 129,812 3,910 X 28-5284 3910 MOLEX INC CL A 608554200 5,409 182 X X 28-5284 182 MOLSON COORS BREWING CO CL B 60871R209 19,557 285 X 28-5284 285 COLUMN TOTAL 8,451,584 FILE NO. 28-1235 PAGE 116 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: ITEM 2: CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------------- --------- ----------- --------- ------- ------ -------- ------- --------- ------- MONEYGRAM INTL INC COM 60935Y109 223,089 7,262 X 28-5284 7262 122,880 4,000 X X 28-5284 4000 MONROE BANCORP COM 610313108 765 50 X 28-1500 50 MONSANTO CO NEW COM 61166W101 1,805,090 21,299 X 28-5284 21299 3,157,870 37,261 X X 28-5284 34769 2492 44,579 526 X X 28-1500 526 89,750 1,059 X X 28-4580 1059 MONSTER WORLDWIDE INC COM 611742107 124,650 2,500 X 28-5284 2500 MONTGOMERY STR INCOME SECS I COM 614115103 20,455 1,199 X X 28-5284 1199 MOODYS CORP COM 615369105 74,148,397 1,037,621 X 28-5284 1017427 20194 42,625,247 596,491 X X 28-5284 578361 5820 12310 1,316,508 18,423 X 28-4580 18040 383 1,603,562 22,440 X X 28-4580 22440 MOOG INC CL A 615394202 781 22 X X 28-5284 22 MORGAN STANLEY EASTN EUR FD COM 616988101 36,299 784 X 28-5284 784 MORGAN STANLEY EMER MKTS FD COM 61744G107 39,004 1,549 X 28-5284 1549 MORGAN STANLEY EMER MKTS DEB COM 61744H105 55,694 5,350 X X 28-5284 5350 MORGAN STANLEY HIGH YIELD FD COM 61744M104 20,628 3,600 X X 28-5284 3600 MORGAN STANLEY ASIA PAC FD I COM 61744U106 8,864 527 X 28-5284 527 45,179 2,686 X X 28-5284 2686 MORGAN STANLEY COM NEW 617446448 59,853,577 952,779 X 28-5284 917373 35406 53,164,440 846,298 X X 28-5284 826359 3190 16749 793,417 12,630 X 28-1500 1164 11466 179,037 2,850 X 28-1143 9 2850 1,099,287 17,499 X 28-4580 17499 537,614 8,558 X X 28-4580 8558 MORGAN STANLEY INDIA INVS FD COM 61745C105 100,000 2,000 X 28-5284 2000 MORGAN STANLEY GOVT INCOME TR 61745P106 103,440 12,000 X X 28-5284 12000 COLUMN TOTAL 241,320,103 FILE NO. 28-1235 PAGE 117 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: ITEM 2: CUSIP 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 MUN PREM INCOM 61745P429 37,440 4,000 X X 28-5284 4000 MORGAN STANLEY QULTY MUN SECS 61745P585 21,495 1,500 X X 28-4580 1500 MORGAN STANLEY QLT MUN INV TR 61745P668 95,970 7,000 X 28-5284 7000 MORGAN STANLEY QUALT MUN INCM 61745P734 197,918 13,612 X 28-5284 13612 MORGAN STANLEY INSD MUN INCM 61745P791 195,075 13,500 X 28-5284 13500 289,000 20,000 X X 28-5284 20000 33,654 2,329 X X 28-4580 2329 MORGAN STANLEY INSD MUN TR 61745P866 7,095 500 X 28-5284 500 8,514 600 X X 28-5284 600 MORGAN STANLEY INCOME SEC INC 61745P874 7,519 496 X 28-5284 496 MORNINGSTAR INC COM 617700109 31,339 700 X X 28-5284 700 MORTONS RESTAURANT GRP INC N COM 619430101 8,690 500 X 28-5284 500 MOTOROLA INC COM 620076109 31,072,993 1,356,307 X 28-5284 1333274 23033 29,809,530 1,301,158 X X 28-5284 1255468 10980 34710 34,388 1,501 X 28-1500 1501 203,510 8,883 X 28-4580 8883 270,017 11,786 X X 28-4580 11786 MUELLER INDS INC COM 624756102 59,531 1,668 X 28-5284 1668 5,425 152 X X 28-5284 152 MULTI COLOR CORP COM 625383104 6,010 200 X 28-5284 200 91,713 3,052 X X 28-1500 3052 MUNI INTER DURATION FD INC COM 62618U107 22,886 1,574 X X 28-5284 1574 MUNICIPAL HIGH INCOME FD INC COM 626214100 14,909 2,034 X 28-5284 2034 MUNICIPAL MTG & EQUITY L L C GROWTH SHS 62624B101 10,600 400 X X 28-5284 400 MUNIHOLDINGS FLA INSD FD COM 62624W105 47,373 3,355 X 28-5284 3355 131,838 9,337 X X 28-5284 9337 MUNIHOLDINGS FD INC COM 62625H107 214,240 13,000 X 28-5284 13000 COLUMN TOTAL 62,928,672 FILE NO. 28-1235 PAGE 118 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 2: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: TITLE OF CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------- --------- --------- --------- ------- ------ -------- ------- --------- ------- MUNIYIELD CALIF INS FD COM 62629L104 33,117 2,259 X 28-5284 2259 MUNIVEST FD II INC COM 62629P105 52,428 3,333 X X 28-5284 3333 MUNIVEST FD INC COM 626295109 94,000 10,000 X 28-5284 10000 MUNIYIELD FD INC COM 626299101 199,160 13,000 X 28-5284 13000 348,024 22,717 X X 28-5284 22717 MUNIYIELD INSD FD INC COM 62630E107 30,849 2,100 X 28-5284 2100 61,199 4,166 X X 28-5284 4166 19,729 1,343 X 28-4580 1343 MUNIYIELD N J FD INC COM 62630L101 21,130 1,421 X 28-5284 1421 MUNIYIELD QUALITY FD II COM 62630T104 63,450 5,000 X 28-5284 5000 MUNIYIELD PA INSD FD COM 62630V109 276,495 18,048 X X 28-5284 18048 379,415 24,766 X 28-4580 24766 32,678 2,133 X X 28-4580 2133 MUNIYIELD QUALITY FD INC COM 626302103 72,250 5,000 X 28-5284 5000 31,299 2,166 X X 28-5284 2166 MURPHY OIL CORP COM 626717102 65,264 1,310 X 28-5284 1310 19,928 400 X X 28-5284 400 MYERS INDS INC COM 628464109 246,310 15,404 X 28-5284 15404 MYLAN LABS INC COM 628530107 342,974 14,657 X 28-5284 13307 1350 638,773 27,298 X X 28-5284 17675 9623 48,976 2,093 X X 28-1500 2093 34,070 1,456 X X 28-4580 1456 MYRIAD GENETICS INC COM 62855J104 13,045 500 X 28-5284 500 MYOGEN INC COM 62856E104 63,188 1,746 X 28-5284 1746 NBC CAP CORP COM 628729105 183,440 8,000 X X 28-5284 8000 NBT BANCORP INC COM 628778102 399,714 17,192 X 28-5284 17192 420,244 18,075 X X 28-5284 18075 COLUMN TOTAL 4,191,149 FILE NO. 28-1235 PAGE 119 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: ITEM 2: CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------------- --------- ---------- --------- ------- ------ -------- ------- --------- ------- NCR CORP NEW COM 62886E108 55,372 1,325 X 28-5284 1041 284 175,769 4,206 X X 28-5284 4046 160 NGAS RESOURCES INC COM 62912T103 177,530 20,500 X 28-5284 20500 3,256 376 X 28-1500 376 NII HLDGS INC CL B NEW 62913F201 23,588 400 X X 28-5284 400 NL INDS INC COM NEW 629156407 5,315 500 X 28-5284 500 10,099 950 X X 28-5284 950 NMT MED INC COM 629294109 12,944 800 X 28-5284 800 9,708 600 X X 28-5284 600 NUCO2 INC COM 629428103 11,109 350 X 28-5284 350 NVR INC COM 62944T105 2,217 3 X X 28-5284 3 NYSE GROUP INC COM 62949W103 443,800 5,600 X X 28-5284 5600 NACCO INDS INC CL A 629579103 2,536,491 16,475 X X 28-5284 16475 NAM TAI ELECTRS INC COM PAR $0.02 629865205 22,910 1,000 X X 28-5284 1000 NANOGEN INC COM 630075109 2,265 750 X 28-5284 750 NANOPHASE TCHNOLOGIES CORP COM 630079101 154 20 X 28-5284 20 NAPCO SEC SYS INC COM 630402105 158,501 9,554 X X 28-5284 9554 NASDAQ 100 TR UNIT SER 1 631100104 5,217,350 124,430 X 28-5284 123800 630 14,986,285 357,412 X X 28-5284 357112 300 240,049 5,725 X 28-4580 5725 193,046 4,604 X X 28-4580 4604 NASDAQ STOCK MARKET INC COM 631103108 4,004 100 X X 28-5284 100 NASHUA CORP COM 631226107 42,500 5,000 X 28-5284 5000 NATIONAL AUSTRALIA BK LTD CAP UTS EXCHBL 632525309 70,480 1,600 X 28-5284 1600 88,100 2,000 X X 28-5284 2000 NATIONAL BANKSHARES INC VA COM 634865109 6,516,510 130,200 X 28-1500 130200 COLUMN TOTAL 31,009,352 FILE NO. 28-1235 PAGE 120 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: ITEM 2: CUSIP 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 CITY CORP COM 635405103 62,796,128 1,799,316 X 28-5284 1646940 152376 15,347,973 439,770 X X 28-5284 392686 19528 27556 10,173,525 291,505 X 28-1500 286565 4940 393,847 11,285 X 28-4580 11285 731,853 20,970 X X 28-4580 20970 NATIONAL HEALTH REALTY INC COM 635905102 14,940 750 X 28-5284 750 9,960 500 X X 28-5284 500 NATIONAL FUEL GAS CO N J COM 636180101 220,795 6,748 X 28-5284 6748 345,752 10,567 X X 28-5284 9185 1382 32,720 1,000 X X 28-4580 1000 NATIONAL GRID PLC SPON ADR NEW 636274300 794 16 X X 28-5284 16 NATIONAL HEALTH INVS INC COM 63633D104 43,180 1,700 X X 28-1500 1700 NATIONAL INSTRS CORP COM 636518102 655,662 20,100 X 28-5284 5200 14900 287,056 8,800 X X 28-5284 8800 NATIONAL MED HEALTH CARD SYS COM NEW 636918302 420,000 15,000 X X 28-5284 15000 NATIONAL OILWELL VARCO INC COM 637071101 152,990 2,386 X 28-5284 1195 1191 128,240 2,000 X X 28-5284 2000 NATIONAL PENN BANCSHARES INC COM 637138108 3,639 171 X 28-5284 171 33,239 1,562 X X 28-5284 1562 NATIONAL SEMICONDUCTOR CORP COM 637640103 76,671 2,754 X 28-5284 2754 231,072 8,300 X X 28-5284 600 7700 NATIONAL WESTMINSTER BK PLC ADR REP PREF B 638539700 30,660 1,200 X 28-5284 1200 NATIONWIDE FINL SVCS INC CL A 638612101 99,032 2,302 X 28-5284 1659 643 279,372 6,494 X X 28-5284 6031 463 NATIONWIDE HEALTH PPTYS INC COM 638620104 465,260 21,640 X 28-5284 21640 101,050 4,700 X X 28-5284 4700 NATURAL RESOURCE PARTNERS L COM UNIT L P 63900P103 23,751 450 X 28-5284 450 26,390 500 X X 28-5284 500 NATUS MEDICAL INC DEL COM 639050103 26,650 1,300 X X 28-5284 1300 COLUMN TOTAL 93,152,201 FILE NO. 28-1235 PAGE 121 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 2: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: TITLE OF CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------- --------- --------- --------- ------- ------ -------- ------- --------- ------- NAUTILUS INC COM 63910B102 14,203 950 X 28-5284 950 NAVISTAR INTL CORP NEW COM 63934E108 1,544 56 X X 28-5284 56 554,358 20,100 X 28-11439 20100 NAVIGANT CONSULTING INC COM 63935N107 67,744 3,173 X 28-5284 3173 NAVTEQ CORP COM 63936L100 235,016 4,640 X 28-5284 4640 7,598 150 X X 28-5284 150 NEENAH PAPER INC COM 640079109 24,399 745 X 28-5284 745 83,644 2,554 X X 28-5284 2347 207 197 6 X 28-1500 6 786 24 X X 28-4580 24 NEOGEN CORP COM 640491106 15,313 625 X X 28-5284 625 5,513 225 X 28-1500 225 NEOSE TECHNOLOGIES INC COM 640522108 13,550 5,000 X X 28-5284 5000 NEOWARE INC COM 64065P102 20,734 700 X 28-5284 700 NETFLIX COM INC COM 64110L106 7,943 274 X 28-5284 274 17,394 600 X X 28-5284 600 NETWORK APPLIANCE INC COM 64120L104 107,730 2,990 X 28-5284 2990 249,111 6,914 X X 28-5284 6914 NEUROCRINE BIOSCIENCES INC COM 64125C109 1,732,383 26,842 X 28-5284 25442 1400 96,358 1,493 X X 28-5284 1493 NEUBERGER BERMAN RLTY INC FD COM 64126G109 22,506 1,100 X 28-5284 1100 NEUSTAR INC CL A 64126X201 489,800 15,800 X 28-5284 15800 76,725 2,475 X X 28-5284 2475 NEW AMER HIGH INCOME FD INC COM 641876107 4,324 2,030 X 28-5284 2030 NEUBERGER BERMAN RE ES SEC F COM 64190A103 23,745 1,500 X 28-5284 1500 NEW CENTURY FINANCIAL CORP M COM 6435EV108 13,806 300 X X 28-5284 300 COLUMN TOTAL 3,886,424 FILE NO. 28-1235 PAGE 122 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 2: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: TITLE OF CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------------- --------- ---------- --------- ------- ------ -------- ------- --------- ------- NEW JERSEY RES COM 646025106 103,623 2,290 X 28-5284 2290 268,106 5,925 X X 28-5284 4175 1750 NEW PLAN EXCEL RLTY TR INC COM 648053106 258,103 9,950 X 28-5284 5600 4350 482,484 18,600 X X 28-5284 18400 200 NEW YORK CMNTY BANCORP INC COM 649445103 4,334,378 247,396 X 28-5284 243325 4071 3,393,554 193,696 X X 28-5284 181946 6000 5750 10,512 600 X X 28-1500 600 3,504 200 X X 28-4580 200 NEW YORK MTG TR INC COM 649604105 5,400 1,000 X 28-5284 1000 5,400 1,000 X X 28-5284 1000 NEW YORK TIMES CO CL A 650111107 276,411 10,921 X 28-5284 9221 1700 214,401 8,471 X X 28-5284 5471 3000 NEWELL RUBBERMAID INC COM 651229106 6,366,521 252,740 X 28-5284 249840 2900 8,475,604 336,467 X X 28-5284 149397 187070 95,722 3,800 X 28-1500 3800 5,038 200 X 28-4580 200 NEWFIELD EXPL CO COM 651290108 138,270 3,300 X 28-5284 3300 307,546 7,340 X X 28-5284 7104 236 NEWMARKET CORP COM 651587107 19,036 400 X X 28-5284 400 NEWMONT MINING CORP COM 651639106 1,588,820 30,619 X 28-5284 30619 4,053,699 78,121 X X 28-5284 75156 2965 210,155 4,050 X X 28-4580 4050 NEWPARK RES INC COM PAR $.01NE 651718504 16,400 2,000 X 28-11439 2000 NEWPORT CORP COM 651824104 17,653 936 X 28-5284 936 NEWS CORP CL A 65248E104 38,020 2,289 X 28-5284 2233 56 295,940 17,817 X X 28-5284 9017 200 8600 4,153 250 X X 28-1500 250 33 2 X 28-4580 2 565 34 X X 28-4580 34 NEWS CORP CL B 65248E203 14,048 800 X 28-5284 400 400 263,400 15,000 X X 28-5284 15000 COLUMN TOTAL 31,266,499 FILE NO. 28-1235 PAGE 123 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: ITEM 2: CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------------- --------- ---------- --------- ------- ------ -------- ------- --------- ------- NEXMED INC COM 652903105 609 700 X X 28-5284 700 NEXEN INC COM 65334H102 110 2 X 28-5284 2 2,752 50 X X 28-1500 50 NFJ DIVID INT & PREM STRTGY COM SHS 65337H109 14,554 642 X 28-5284 642 NICHOLAS- APPLEGATE CV & INC COM 65370F101 50,165 3,224 X X 28-5284 3224 NICOR INC COM 654086107 47,472 1,200 X 28-5284 1200 59,340 1,500 X X 28-5284 1500 NIKE INC CL B 654106103 8,869,718 104,227 X 28-5284 90017 14210 359,548 4,225 X X 28-5284 3375 850 186,029 2,186 X 28-1500 2186 211,303 2,483 X X 28-1500 2483 17,020 200 X 28-4580 200 NISOURCE INC COM 65473P105 32,352 1,600 X 28-5284 1600 362,767 17,941 X X 28-5284 17941 NISSAN MOTORS SPONSORED ADR 654744408 10,701 450 X 28-5284 450 NOKIA CORP SPONSORED ADR 654902204 40,450,579 1,952,248 X 28-5284 1914503 37745 16,531,348 797,845 X X 28-5284 725373 5930 66542 56,939 2,748 X 28-1500 2748 501,528 24,205 X X 28-1500 24205 90,339 4,360 X 28-11439 4360 483,750 23,347 X 28-4580 23027 320 308,873 14,907 X X 28-4580 14907 NOBLE ENERGY INC COM 655044105 1,894,972 43,146 X 28-5284 4146 39000 55,339 1,260 X X 28-5284 1260 NOMURA HLDGS INC SPONSORED ADR 65535H208 9,422 425 X 28-5284 425 NORAM ENERGY CORP SDCV 6.000% 3 655419AC3 1,243,125 12,750 X 28-5284 12750 1,837,875 18,850 X X 28-5284 18850 COLUMN TOTAL 73,688,529 FILE NO. 28-1235 PAGE 124 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: ITEM 2: CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------------- --------- ----------- --------- ------- ------ -------- ------- --------- ------- NORDSTROM INC COM 655664100 31,150,177 795,053 X 28-5284 778033 17020 15,817,828 403,722 X X 28-5284 388121 6340 9261 42,393 1,082 X X 28-1500 1082 747,789 19,086 X 28-4580 18572 514 149,276 3,810 X X 28-4580 3810 NORFOLK SOUTHERN CORP COM 655844108 23,303,792 430,993 X 28-5284 425205 5788 30,499,265 564,070 X X 28-5284 360818 2260 200992 81,375 1,505 X X 28-1500 1505 47,041 870 X 28-4580 870 48,663 900 X X 28-4580 900 NORSK HYDRO A S SPONSORED ADR 656531605 27,668 200 X X 28-5284 200 NORTEL NETWORKS CORP NEW COM 656568102 281,866 92,415 X 28-5284 92415 35,228 11,550 X X 28-5284 10550 1000 610 200 X X 28-4580 200 NORTH AMERN GALVANZNG & CTNG COM 65686Y109 2,370,177 790,059 X 28-5284 790059 NORTH EUROPEAN OIL RTY TR SH BEN INT 659310106 2,023,268 67,600 X 28-5284 67600 463,915 15,500 X X 28-5284 10300 5200 NORTH FORK BANCORPORATION NY COM 659424105 8,259,853 286,502 X 28-5284 282402 4100 760,103 26,365 X X 28-5284 9083 7282 10000 NORTH PITTSBURGH SYS INC COM 661562108 108,298 4,640 X X 28-5284 4640 NORTHEAST UTILS COM 664397106 4,883 250 X X 28-5284 250 NORTHERN BORDER PARTNERS L P UNIT LTD PARTN 664785102 23,960 500 X 28-5284 500 97,038 2,025 X X 28-5284 2025 NORTHERN TR CORP COM 665859104 1,692,548 32,239 X 28-5284 32239 579,023 11,029 X X 28-5284 8218 2811 NORTHFIELD LABS INC COM 666135108 5,130 513 X 28-1500 513 NORTHRIM BANCORP INC COM 666762109 6,984,432 291,018 X 28-1500 291018 COLUMN TOTAL 125,605,599 FILE NO. 28-1235 PAGE 125 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: ITEM 2: CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------------- --------- ---------- --------- ------- ------ -------- ------- --------- ------- NORTHROP GRUMMAN CORP COM 666807102 2,514,028 36,814 X 28-5284 33386 3428 5,670,665 83,038 X X 28-5284 83038 431,456 6,318 X X 28-1500 6318 20,487 300 X 28-4580 300 102,298 1,498 X X 28-4580 1498 NORTHWEST BANCORP INC PA COM 667328108 126,722 5,118 X 28-5284 5118 5,150 208 X X 28-5284 208 NORTHWEST NAT GAS CO COM 667655104 68,638 1,934 X 28-5284 1934 184,548 5,200 X X 28-5284 5200 NORTHWESTERN CORP COM NEW 668074305 2,958 95 X 28-5284 95 9,342 300 X X 28-5284 300 NORWOOD FINANCIAL CORP COM 669549107 145,280 4,540 X 28-5284 4540 8,000 250 X X 28-5284 250 NOVA CHEMICALS CORP COM 66977W109 11,400 400 X 28-5284 400 14,250 500 X X 28-5284 500 NOVARTIS A G SPONSORED ADR 66987V109 331,808 5,985 X 28-5284 4985 1000 1,010,394 18,225 X X 28-5284 14150 4075 24,172 436 X X 28-1500 436 NOVASTAR FINL INC COM 669947400 6,688 200 X X 28-1500 200 NOVATEL INC COM 669954109 1,172,466 31,800 X X 28-5284 31800 NOVELIS INC COM 67000X106 1,378 67 X 28-5284 67 2,057 100 X X 28-5284 100 NOVAVAX INC COM 670002104 15,960 2,000 X X 28-5284 2000 NOVELL INC COM 670006105 29,491 3,840 X 28-5284 3840 188,160 24,500 X X 28-5284 24500 NOVELLUS SYS INC COM 670008101 10,608 442 X 28-5284 442 NOVO-NORDISK A S ADR 670100205 384,958 6,200 X 28-5284 6200 1,381,813 22,255 X X 28-5284 22255 COLUMN TOTAL 13,875,175 FILE NO. 28-1235 PAGE 126 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 2: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: TITLE OF CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- ---------- --------- --------- --------- ------- ------ -------- ------- --------- ------- NSTAR COM 67019E107 26,893 940 X 28-5284 940 81,939 2,864 X X 28-5284 2864 NUANCE COMMUNICATIONS INC COM 67020Y100 11,810 1,000 X X 28-5284 1000 NUCOR CORP COM 670346105 2,235,590 21,334 X 28-5284 21334 1,127,331 10,758 X X 28-5284 10758 NUVEEN EQTY PRM OPPORTUNITYF COM 6706EM102 37,800 2,000 X 28-5284 2000 NUVEEN PREM INCOME MUN FD 4 COM 6706K4105 16,422 1,284 X 28-5284 1284 9,554 747 X X 28-5284 747 NUVEEN CONN PREM INCOME MUN SH BEN INT 67060D107 15,080 1,000 X 28-5284 1000 NUVEEN PA PREM INCOME MUN FD COM 67061F101 126,173 9,203 X 28-5284 9203 223,487 16,301 X X 28-5284 16301 808,150 58,946 X 28-4580 58946 NUVEEN SELECT MAT MUN FD SH BEN INT 67061T101 22,885 2,300 X X 28-5284 2300 NUVEEN ARIZ PREM INCOME MUN COM 67061W104 284,172 20,097 X X 28-5284 20097 NUVEEN INVT QUALITY MUN FD I COM 67062E103 117,899 7,777 X X 28-5284 7777 NUVEEN SELECT TAX FREE INCM SH BEN INT 67062F100 1,421 100 X 28-5284 100 NUVEEN MUN ADVANTAGE FD INC COM 67062H106 41,232 2,667 X 28-5284 2667 128,318 8,300 X X 28-5284 8300 NUVEEN MUN INCOME FD INC COM 67062J102 84,880 8,000 X 28-5284 8000 132,307 12,470 X X 28-5284 12470 NUVEEN INSD QUALITY MUN FD I COM 67062N103 2,998 200 X X 28-5284 200 11,992 800 X 28-4580 800 NUVEEN PERFORMANCE PLUS MUN COM 67062P108 141,481 9,382 X 28-5284 9382 NUVEEN PREM INCOME MUN FD COM 67062T100 65,299 4,618 X 28-5284 4618 NUVEEN MUN MKT OPPORTUNITY F COM 67062W103 186,949 12,761 X 28-5284 12761 NUVEEN SELECT TAX FREE INCM SH BEN INT 67063C106 109,634 8,200 X X 28-5284 8200 COLUMN TOTAL 6,051,696 FILE NO. 28-1235 PAGE 127 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: ITEM 2: CUSIP 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 PREM INCOME MUN FD 2 COM 67063W102 46,428 3,332 X X 28-5284 3332 NUVEEN TAX FREE ADV MUN FD COM 670657105 59,709 4,333 X 28-5284 4333 NVIDIA CORP COM 67066G104 22,160 387 X 28-5284 387 1,814,569 31,690 X X 28-5284 31690 NUVEEN DIVID ADVANTAGE MUN F COM 67066V101 29,680 2,000 X X 28-5284 2000 NUVEEN SR INCOME FD COM 67067Y104 31,117 3,700 X 28-5284 3700 NUVEEN MUN HIGH INC OPP FD COM 670682103 18,634 1,100 X 28-5284 1100 111,804 6,600 X X 28-5284 6600 NUVEEN MASS DIVID ADVANTAG M COM SH BEN INT 67069P101 34,240 2,140 X X 28-5284 2140 NUVEEN PA DIV ADVANTAGE MUN COM 67070E103 21,026 1,310 X 28-5284 1310 NUVEEN DIV ADVANTAGE MUN FD COM 67070F100 18,980 1,142 X X 28-5284 1142 NUVEEN VA DIV ADV MUNI FD 2 COM 67071C106 50,550 3,000 X 28-5284 3000 NUVEEN INSD DIVID ADVANTAGE COM 67071L106 52,229 3,510 X 28-5284 3510 NUVEEN QUALITY PFD INCOME FD COM 67071S101 104,685 7,877 X 28-5284 7877 91,914 6,916 X X 28-5284 6916 NUVEEN NEW JERSEY DIVID COM 67071T109 52,437 3,300 X X 28-5284 3300 NUVEEN PA DIVID ADVANTAGE MU COM 67071W102 182,750 12,500 X X 28-5284 12500 NUVEEN MD DIV ADV MUN FD 3 COM 67072A109 14,070 1,000 X X 28-5284 1000 NUVEEN GA DIV ADV MUN FD 2 COM 67072B107 445,475 31,888 X X 28-5284 31888 NUVEEN QUALITY PFD INCOME FD COM 67072C105 242,288 17,750 X 28-5284 17450 300 54,655 4,004 X X 28-5284 4004 NUVEEN QUALITY PFD INC FD 3 COM 67072W101 9,870 750 X 28-5284 750 NUVEEN PFD & CONV INC FD COM 67073B106 60,972 4,925 X 28-5284 4925 37,140 3,000 X X 28-5284 3000 COLUMN TOTAL 3,607,382 FILE NO. 28-1235 PAGE 128 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 2: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: TITLE OF CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------- --------- --------- --------- ------- ------ -------- ------- --------- ------- NUVEEN PFD & CONV COM INCOME FD SHS 67073D102 12,340 1,000 X 28-5284 1000 23,335 1,891 X X 28-5284 1891 O CHARLEYS INC COM 670823103 849 46 X 28-1500 46 OGE ENERGY CORP COM 670837103 71,543 2,467 X 28-5284 2467 153,700 5,300 X X 28-5284 4900 400 OM GROUP INC COM 670872100 15,640 680 X 28-5284 680 NUVEEN INVTS INC CL A 67090F106 161,303 3,350 X 28-5284 400 2950 NUVEEN TX ADV TOTAL RET STRG COM 67090H102 8,956 400 X X 28-5284 400 NUVEEN MUN VALUE FD INC COM 670928100 2,920,654 300,170 X 28-5284 300170 338,750 34,815 X X 28-5284 34815 6,325 650 X 28-4580 650 3,892 400 X X 28-4580 400 NUVEEN FLA INVT QUALITY MUN COM 670970102 46,266 3,300 X 28-5284 3300 NUVEEN NJ INVT QUALITY MUN F COM 670971100 67,141 4,583 X 28-5284 4583 132,963 9,076 X X 28-5284 9076 NUVEEN PA INVT QUALITY MUN F COM 670972108 309,057 22,363 X 28-5284 22363 730,815 52,881 X X 28-5284 52881 NUVEEN SELECT QUALITY MUN FD COM 670973106 156,247 10,100 X 28-5284 10100 NUVEEN CA SELECT QUALITY MUN COM 670975101 90,660 6,000 X X 28-5284 6000 NUVEEN NY SELECT QUALITY MUN COM 670976109 59,824 4,078 X X 28-5284 4078 NUVEEN QUALITY INCOME MUN FD COM 670977107 284,807 19,166 X 28-5284 19166 109,548 7,372 X X 28-5284 7372 NUVEEN FLA QUALITY INCOME MU COM 670978105 88,384 6,400 X 28-5284 6400 NUVEEN OHIO QUALITY INCOME M COM 670980101 48,292 2,950 X 28-5284 2950 17,827 1,089 X X 28-5284 1089 NUVEEN INSD MUN OPPORTUNITY COM 670984103 36,048 2,400 X 28-5284 2400 COLUMN TOTAL 5,895,166 FILE NO. 28-1235 PAGE 129 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: ITEM 2: CUSIP 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 CALIF QUALITY INCM MU COM 670985100 91,500 6,000 X X 28-5284 6000 NUVEEN PREMIER MUN INCOME FD COM 670988104 72,054 5,302 X 28-5284 5302 NUVEEN NJ PREM INCOME MUN FD COM 67101N106 266,288 17,600 X 28-5284 17600 74,818 4,945 X X 28-5284 4945 OSI PHARMACEUTICALS INC COM 671040103 1,990 62 X 28-5284 62 OYO GEOSPACE CORP COM 671074102 194,667 3,300 X X 28-5284 3300 OAK HILL FINL INC COM 671337103 18,546 600 X 28-5284 600 OCCIDENTAL PETE CORP DEL COM 674599105 807,074 8,711 X 28-5284 8711 1,559,114 16,828 X X 28-5284 7728 9100 98,672 1,065 X X 28-1500 1065 OCEANEERING INTL INC COM 675232102 49,393 862 X X 28-5284 747 115 OCEANFIRST FINL CORP COM 675234108 61,250 2,500 X 28-5284 1500 1000 22,050 900 X X 28-5284 900 OFFICEMAX INC DEL COM 67622P101 7,543 250 X 28-5284 250 7,995 265 X X 28-5284 265 OFFICE DEPOT INC COM 676220106 50,982 1,369 X 28-5284 1369 10,725 288 X X 28-1500 288 OHIO CAS CORP COM 677240103 114,120 3,600 X 28-5284 3600 33,919 1,070 X X 28-5284 1070 721,175 22,750 X X 28-1500 22750 OHIO VY BANC CORP COM 677719106 5,075 200 X 28-1500 200 OIL SVC HOLDRS TR DEPOSTRY RCPT 678002106 132,129 900 X 28-5284 900 20,407 139 X X 28-4580 30 109 OIL STS INTL INC COM 678026105 868,555 23,570 X X 28-5284 23570 OLD DOMINION FGHT LINES INC COM 679580100 10,780 400 X X 28-1500 400 OLD LINE BANCSHARES INC COM 67984M100 352,500 30,000 X X 28-5284 30000 COLUMN TOTAL 5,653,321 FILE NO. 28-1235 PAGE 130 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: ITEM 2: CUSIP 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 409,710 18,933 X 28-5284 18933 6,449 298 X X 28-1500 298 OLD REP INTL CORP COM 680223104 3,731,438 171,010 X 28-5284 171010 4,653,050 213,247 X X 28-5284 210872 2375 6,808 312 X 28-4580 312 16,365 750 X X 28-4580 750 OLIN CORP COM PAR $1 680665205 61,104 2,846 X 28-5284 2846 266,185 12,398 X X 28-5284 12398 OMNICARE INC COM 681904108 420,289 7,643 X 28-5284 5743 1900 163,045 2,965 X X 28-5284 965 2000 27,495 500 X X 28-4580 500 OMNICOM GROUP INC COM 681919106 45,583,454 547,549 X 28-5284 512869 34680 20,090,473 241,327 X X 28-5284 236640 2825 1862 474,192 5,696 X 28-1500 4456 1240 99,401 1,194 X X 28-4580 1194 OMEGA FINL CORP COM 682092101 33,860 1,000 X 28-5284 1000 47,844 1,413 X X 28-5284 1413 OMEGA FLEX INC COM 682095104 107,080 5,621 X 28-5284 5621 OMNIVISION TECHNOLOGIES INC COM 682128103 15,100 500 X 28-5284 500 OMNICELL INC COM 68213N109 22,780 2,000 X X 28-5284 2000 ONEOK INC NEW COM 682680103 52,245 1,620 X X 28-5284 1600 20 ONLINE RES CORP COM 68273G101 5,941 457 X 28-5284 457 ONSTREAM MEDIA CORP COM 682875109 17,082 15,389 X 28-5284 15389 ON2 TECHNOLOGIES INC COM 68338A107 800 1,000 X X 28-5284 1000 ONVIA INC COM NEW 68338T403 93,834 15,639 X 28-1500 15639 ONYX PHARMACEUTICALS INC COM 683399109 21,008 800 X 28-5284 800 OPEN JT STK CO-VIMPEL COMMUN SPONSORED ADR 68370R109 77,418 1,800 X X 28-5284 1800 4,301 100 X X 28-4580 100 COLUMN TOTAL 76,508,751 FILE NO. 28-1235 PAGE 131 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: ITEM 2: CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------------- --------- ---------- --------- ------- ------ -------- ------- --------- ------- OPENWAVE SYS INC COM NEW 683718308 129,480 6,000 X 28-5284 6000 OPSWARE INC COM 68383A101 88,914 10,375 X 28-1500 10375 OPTEUM INC CL A 68384A100 83,888 9,800 X X 28-1500 9800 ORACLE CORP COM 68389X105 37,226,122 2,719,220 X 28-5284 2659106 60114 16,126,313 1,177,963 X X 28-5284 1131997 18750 27216 146,086 10,671 X 28-1500 10671 758,166 55,381 X 28-4580 53707 1674 409,441 29,908 X X 28-4580 29908 ORASURE TECHNOLOGIES INC COM 68554V108 10,300 1,000 X 28-5284 1000 160,371 15,570 X X 28-5284 1000 14570 4,120 400 X 28-1500 400 ORBITAL SCIENCES CORP COM 685564106 4,746 300 X 28-5284 300 OREGON STL MLS INC COM 686079104 38,378 750 X 28-5284 750 10,234 200 X X 28-5284 200 OREILLY AUTOMOTIVE INC COM 686091109 3,656 100 X X 28-5284 100 7,312 200 X X 28-1500 200 ORIENTAL FINL GROUP INC COM 68618W100 173 12 X X 28-5284 12 4,907,220 339,600 X 28-1500 339600 ORTHOLOGIC CORP COM 68750J107 64,986 29,539 X 28-1500 29539 OSCIENT PHARMACEUTICALS CORP COM 68812R105 2,040 1,020 X 28-5284 1020 OSHKOSH TRUCK CORP COM 688239201 248,960 4,000 X 28-5284 4000 808,498 12,990 X X 28-5284 12490 500 OTELCO INC UNIT 99/99/999 688823202 21,992 1,355 X X 28-5284 1355 OVERSEAS SHIPHOLDING GROUP I COM 690368105 19,172 400 X 28-5284 400 26,841 560 X X 28-5284 560 OVERSTOCK COM INC DEL COM 690370101 6,411 215 X 28-5284 215 2,982 100 X X 28-5284 100 OWENS & MINOR INC NEW COM 690732102 32,770 1,000 X X 28-5284 1000 COLUMN TOTAL 61,349,572 FILE NO. 28-1235 PAGE 132 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 2: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: TITLE OF CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------------- --------- ----------- --------- ------- ------ -------- ------- --------- ------- OWENS ILL INC COM NEW 690768403 26,055 1,500 X 28-5284 1500 2,241 129 X X 28-5284 129 OWENS ILL INC PFD CONV $.01 690768502 13,880 400 X 28-5284 400 OXFORD INDS INC COM 691497309 2,557 50 X 28-5284 50 PAB BANKSHARES INC COM 69313P101 8,587,524 442,200 X 28-1500 442200 PDL BIOPHARMA INC COM 69329Y104 5,904 180 X 28-5284 180 65,600 2,000 X X 28-5284 2000 PG&E CORP COM 69331C108 26,258 675 X 28-5284 675 107,986 2,776 X X 28-5284 2752 24 PHH CORP COM NEW 693320202 5,260 197 X 28-5284 162 35 63,199 2,367 X X 28-5284 2152 215 668 25 X 28-4580 25 P F CHANGS CHINA BISTRO INC COM 69333Y108 4,929 100 X 28-5284 100 PICO HLDGS INC COM NEW 693366205 33 1 X 28-5284 1 PMA CAP CORP CL A 693419202 407,200 40,000 X 28-5284 40000 PMC COML TR SH BEN INT 693434102 6,825 500 X 28-5284 500 13,650 1,000 X X 28-5284 1000 PMC-SIERRA INC COM 69344F106 922 75 X 28-5284 75 PMI GROUP INC COM 69344M101 12,352 269 X X 28-5284 261 8 5,327 116 X X 28-1500 116 PNC FINL SVCS GROUP INC COM 693475105 112,648,064 1,673,571 X 28-5284 1651744 21827 153,419,885 2,279,303 X X 28-5284 1318577 32100 928626 1,004,131 14,918 X 28-1500 14918 2,747,392 40,817 X 28-4580 39917 900 4,727,114 70,229 X X 28-4580 68529 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 21,240 193 X 28-5284 193 2,751 25 X X 28-5284 25 COLUMN TOTAL 283,928,947 FILE NO. 28-1235 PAGE 133 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: ITEM 2: CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------------- --------- ----------- --------- ------- ------ -------- ------- --------- ------- POSCO SPONSORED ADR 693483109 31,900 500 X X 28-5284 500 PNM RES INC COM 69349H107 708 29 X X 28-5284 29 PPG INDS INC COM 693506107 53,141,274 838,852 X 28-5284 821836 17016 42,049,069 663,758 X X 28-5284 631141 3560 29057 45,232 714 X X 28-1500 714 417,603 6,592 X 28-4580 6592 1,248,882 19,714 X X 28-4580 19714 PPL CORP COM 69351T106 13,448,030 457,416 X 28-5284 452867 4549 17,868,614 607,776 X X 28-5284 592586 15190 107,310 3,650 X 28-4580 3650 41,160 1,400 X X 28-4580 1400 PACCAR INC COM 693718108 77,528 1,100 X X 28-5284 1100 14,096 200 X X 28-1500 200 PACIFIC CAP BANCORP NEW COM 69404P101 51,843 1,532 X X 28-5284 1532 PACIFIC ENERGY PARTNERS L P COM UNIT 69422R105 9,171 300 X 28-5284 300 PACIFIC PREMIER BANCORP COM 69478X105 1,108,485 94,500 X 28-1500 94500 PACKAGING CORP AMER COM 695156109 2,244 100 X 28-5284 100 561 25 X X 28-5284 25 PACTIV CORP COM 695257105 61,914 2,523 X 28-5284 2523 25,644 1,045 X X 28-5284 1045 PALL CORP COM 696429307 191,319 6,134 X 28-5284 6134 6,238 200 X X 28-5284 200 PALM INC NEW COM 696643105 695 30 X 28-5284 30 13,340 576 X X 28-5284 576 PALOMAR MED TECHNOLOGIES INC COM NEW 697529303 889,436 26,590 X X 28-5284 26590 PAN AMERICAN SILVER CORP COM 697900108 12,700 500 X 28-5284 500 25,400 1,000 X X 28-5284 1000 PAN PACIFIC RETAIL PPTYS INC COM 69806L104 26,162 369 X 28-5284 369 20,845 294 X X 28-5284 294 COLUMN TOTAL 130,937,403 FILE NO. 28-1235 PAGE 134 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 2: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: TITLE OF CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------- --------- ---------- --------- ------- ------ -------- ------- --------- ------- PANERA BREAD CO CL A 69840W108 22,554 300 X 28-5284 200 100 PANTRY INC COM 698657103 1,035,050 16,590 X X 28-5284 16590 PAPA JOHNS INTL INC COM 698813102 98,430 3,000 X 28-5284 3000 42,325 1,290 X X 28-5284 1290 18,439 562 X 28-1500 562 PARAMETRIC TECHNOLOGY CORP COM NEW 699173209 5,275 323 X 28-5284 323 15,677 960 X X 28-5284 480 480 PARK NATL CORP COM 700658107 596,400 5,600 X 28-5284 5600 PARKE BANCORP INC COM 700885106 397,896 14,160 X X 28-5284 14160 PARKER DRILLING CO COM 701081101 27,810 3,000 X 28-5284 3000 18,540 2,000 X X 28-5284 2000 PARKER HANNIFIN CORP COM 701094104 302,288 3,750 X 28-5284 3750 354,845 4,402 X X 28-5284 4402 24,183 300 X X 28-1500 300 PARKWAY PPTYS INC COM 70159Q104 218,400 5,000 X 28-5284 5000 21,840 500 X X 28-5284 500 PARTNERS TR FINL GROUP INC N COM 70213F102 23,840 2,000 X 28-5284 2000 PATHMARK STORES INC NEW COM 70322A101 1,046 100 X X 28-5284 100 PATTERSON COMPANIES INC COM 703395103 130,240 3,700 X 28-5284 3700 161,744 4,595 X X 28-5284 4595 123,904 3,520 X X 28-1500 3520 PATTERSON UTI ENERGY INC COM 703481101 3,835 120 X 28-5284 120 92,684 2,900 X X 28-5284 400 2500 25,952 812 X X 28-1500 812 PAYCHEX INC COM 704326107 7,099,031 170,404 X 28-5284 167197 3207 5,079,437 121,926 X X 28-5284 119276 2650 21,663 520 X X 28-4580 520 PAYLESS SHOESOURCE INC COM 704379106 58,873 2,572 X 28-5284 2572 126,353 5,520 X X 28-5284 5520 COLUMN TOTAL 16,148,554 FILE NO. 28-1235 PAGE 135 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: ITEM 2: CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------------- --------- ---------- --------- ------- ------ -------- ------- --------- ------- PCCW LTD SPONS ADR NEW 70454G207 1,122 170 X 28-5284 170 PEABODY ENERGY CORP COM 704549104 998,622 19,810 X 28-5284 19360 450 2,035,556 40,380 X X 28-5284 38500 1280 600 90,738 1,800 X X 28-4580 1800 PEAPACK- GLADSTONE FINL CORP COM 704699107 115,501 4,510 X 28-5284 4510 48,915 1,910 X X 28-5284 1210 700 PEARSON PLC SPONSORED ADR 705015105 8,310 600 X 28-5284 600 PEDIATRIX MED GROUP COM 705324101 9,340 91 X X 28-5284 91 PEERLESS SYS CORP COM 705536100 167,365 22,405 X X 28-5284 22405 PEGASUS COMMUNICATIONS CORP CL A NEW 705904605 92,500 37,000 X X 28-5284 37000 PENGROWTH ENERGY TR TRUST UNIT A 706902301 18,480 800 X 28-5284 800 254,100 11,000 X X 28-5284 11000 PENN NATL GAMING INC COM 707569109 42,180 1,000 X 28-5284 1000 29,526 700 X X 28-5284 700 PENN TREATY AMERN CORP COM NEW 707874400 23,075 2,500 X 28-5284 2500 PENN VA CORP COM 707882106 174,944 2,464 X 28-5284 2464 142,000 2,000 X X 28-5284 2000 PENN VA RESOURCES PARTNERS L COM 707884102 40,159 700 X 28-5284 700 74,581 1,300 X X 28-5284 1300 PENNEY J C INC COM 708160106 2,085,897 34,529 X 28-5284 32789 1740 799,647 13,237 X X 28-5284 12412 825 21,566 357 X 28-4580 357 171,021 2,831 X X 28-4580 2831 PENNS WOODS BANCORP INC COM 708430103 47,058 1,240 X X 28-5284 1240 4,472,028 117,840 X 28-1500 117840 PENNSYLVANIA COMM BANCORP IN COM 708677109 145,534 4,827 X 28-5284 4827 PENNSYLVANIA RL ESTATE INVT SH BEN INT 709102107 324,984 7,386 X 28-5284 7386 3,312,188 75,277 X X 28-5284 41277 34000 COLUMN TOTAL 15,746,937 FILE NO. 28-1235 PAGE 136 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: ITEM 2: CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------------- --------- ----------- --------- ------- ------ -------- ------- --------- ------- PENTAIR INC COM 709631105 398,372 9,776 X 28-5284 9776 611,250 15,000 X X 28-5284 15000 PEOPLES BANCORP INC COM 709789101 50,580 1,686 X 28-5284 1686 PEOPLES ENERGY CORP COM 711030106 99,008 2,778 X 28-5284 2778 89,706 2,517 X X 28-5284 2317 200 PEPCO HOLDINGS INC COM 713291102 596,847 26,189 X 28-5284 25669 520 1,083,938 47,562 X X 28-5284 42000 5562 73,566 3,228 X 28-4580 3228 4,558 200 X X 28-4580 200 PEPSI BOTTLING GROUP INC COM 713409100 15,195 500 X 28-5284 500 220,692 7,262 X X 28-5284 2055 5207 PEPSIAMERICAS INC COM 71343P200 84,279 3,447 X 28-5284 3447 6,015 246 X X 28-5284 246 PEPSICO INC COM 713448108 169,261,015 2,928,898 X 28-5284 2829299 99599 98,355,286 1,701,943 X X 28-5284 1642249 11665 48029 957,465 16,568 X 28-1500 5455 11113 1,662,849 28,774 X 28-4580 28584 190 1,664,814 28,808 X X 28-4580 27538 1270 PERFICIENT INC COM 71375U101 15,267 1,315 X 28-1500 1315 PERFORMANCE FOOD GROUP CO COM 713755106 40,235 1,290 X 28-5284 90 1200 PERKINELMER INC COM 714046109 17,227 734 X 28-5284 734 484,069 20,625 X X 28-5284 18700 1925 2,347 100 X X 28-1500 100 PERMIAN BASIN RTY TR UNIT BEN INT 714236106 61,834 3,824 X 28-5284 3824 50,515 3,124 X X 28-5284 3124 PETMED EXPRESS INC COM 716382106 972,819 54,745 X X 28-5284 54745 PETRO-CDA COM 71644E102 9,518 200 X X 28-5284 200 9,566 201 X X 28-4580 46 155 COLUMN TOTAL 276,898,832 FILE NO. 28-1235 PAGE 137 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: ITEM 2: CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------------- --------- ----------- --------- ------- ------ -------- ------- --------- ------- PETROCHINA CO LTD SPONSORED ADR 71646E100 157,425 1,500 X 28-5284 1500 162,673 1,550 X X 28-5284 1550 41,140 392 X X 28-4580 322 70 PETROFUND ENERGY TRUST TR UNIT 71648W108 33,805 1,545 X 28-5284 1545 136,969 6,260 X X 28-5284 6260 PETROHAWK ENERGY CORP COM 716495106 5,001 365 X X 28-5284 365 PETROLEO BRASILEIRO SA PETRO SPONSORED ADR 71654V408 43,335 500 X 28-5284 500 26,001 300 X X 28-5284 300 PETROLEUM & RES CORP COM 716549100 156,040 4,700 X 28-5284 4700 PETROLEUM GEO SVCS ASA NEW SPONSORED ADR 716599105 9,763 210 X X 28-5284 210 PETSMART INC COM 716768106 2,001,317 71,120 X 28-5284 71120 854,049 30,350 X X 28-5284 30225 125 PFIZER INC COM 717081103 168,749,917 6,771,666 X 28-5284 6534598 237068 126,303,631 5,068,364 X X 28-5284 4883844 18518 166002 2,994,886 120,180 X 28-1500 11665 108515 3,121,604 125,265 X 28-11439 125265 1,795,411 72,047 X 28-4580 72047 3,344,463 134,208 X X 28-4580 134208 PFSWEB INC COM 717098107 615 500 X 28-5284 500 PHARMACEUTICAL HLDRS TR DEPOSITRY RCPT 71712A206 321,300 4,500 X 28-5284 4100 400 228,480 3,200 X X 28-5284 3200 PHARMACEUTICAL PROD DEV INC COM 717124101 1,064,604 30,760 X X 28-5284 30700 60 69,705 2,014 X X 28-1500 2014 PHARMION CORP COM 71715B409 12,920 717 X 28-5284 717 PHASE FORWARD INC COM 71721R406 1,716 154 X 28-1500 154 PHELPS DODGE CORP COM 717265102 2,526,146 31,369 X 28-5284 31369 1,363,534 16,932 X X 28-5284 16632 300 81,980 1,018 X X 28-1500 1018 COLUMN TOTAL 315,608,430 FILE NO. 28-1235 PAGE 138 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 2: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: TITLE OF CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------- --------- --------- --------- ------- ------ -------- ------- --------- ------- PHILADELPHIA CONS HLDG CORP COM 717528103 4,302 126 X 28-5284 126 2,048 60 X X 28-5284 60 PHILLIPS VAN HEUSEN CORP COM 718592108 1,032 27 X X 28-5284 27 PHOENIX COS INC NEW COM 71902E109 72,796 4,466 X 28-5284 3867 599 55,241 3,389 X X 28-5284 2730 659 PHOTOMEDEX INC COM 719358103 112,128 58,706 X X 28-5284 58706 PIEDMONT NAT GAS INC COM 720186105 426,062 17,760 X 28-5284 16900 860 146,339 6,100 X X 28-5284 4000 2100 324,465 13,525 X X 28-1500 13525 PIER 1 IMPORTS INC COM 720279108 3,483 300 X X 28-5284 300 PIKE ELEC CORP COM 721283109 10,505 500 X 28-5284 500 21,010 1,000 X X 28-5284 1000 PILGRIMS PRIDE CORP COM 721467108 4,334 200 X 28-5284 200 PIMCO MUNICIPAL INCOME FD COM 72200R107 27,156 1,666 X 28-5284 1666 PIMCO CORPORATE INCOME FD COM 72200U100 21,518 1,400 X 28-5284 1400 79,924 5,200 X X 28-5284 5200 PIMCO MUN INCOME FD II COM 72200W106 19,662 1,333 X X 28-5284 1333 PIMCO STRATEGIC GBL GOV FD I COM 72200X104 26,011 2,184 X 28-5284 2184 PIMCO MUN INCOME FD III COM 72201A103 24,540 1,666 X 28-5284 1666 PIMCO CORPORATE OPP FD COM 72201B101 243,040 14,000 X 28-5284 14000 173,600 10,000 X X 28-5284 10000 PIMCO HIGH INCOME FD COM SHS 722014107 86,396 5,733 X 28-5284 5733 PINNACLE WEST CAP CORP COM 723484101 66,470 1,700 X 28-5284 1700 319,447 8,170 X X 28-5284 8170 101,660 2,600 X X 28-4580 2600 PIONEER DRILLING CO COM 723655106 1,643 100 X X 28-4580 100 COLUMN TOTAL 2,374,812 FILE NO. 28-1235 PAGE 139 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: ITEM 2: CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------------- --------- ---------- --------- ------- ------ -------- ------- --------- ------- PIONEER HIGH INCOME TR COM 72369H106 84,000 5,000 X 28-5284 5000 PIONEER MUN HIGH INC ADV TR COM 723762100 60,000 4,000 X 28-5284 4000 PIONEER MUN HIGH INCOME TR COM SHS 723763108 13,610 1,000 X X 28-5284 1000 PIONEER NAT RES CO COM 723787107 522,150 11,800 X 28-5284 11800 150,450 3,400 X X 28-5284 1100 2300 13,275 300 X X 28-1500 300 PIONEER TAX ADVNTAGE BALANC COM 72388R101 18,633 1,450 X X 28-1500 1450 PIPER JAFFRAY COS COM 724078100 210,705 3,831 X 28-5284 3831 33,550 610 X X 28-5284 596 14 55 1 X 28-4580 1 PITNEY BOWES INC COM 724479100 18,383,141 428,212 X 28-5284 422562 5650 31,870,674 742,387 X X 28-5284 730201 3900 8286 54,521 1,270 X X 28-1500 1270 604,626 14,084 X 28-4580 14084 833,744 19,421 X X 28-4580 16821 2600 PIXELWORKS INC COM 72581M107 10,437 2,100 X X 28-5284 2100 62,538 12,583 X 28-1500 12583 PIXAR COM 725811103 28,863 450 X 28-5284 450 44,898 700 X X 28-5284 700 PLAINS ALL AMERN PIPELINE L UNIT LTD PARTN 726503105 8,996 200 X 28-5284 200 422,812 9,400 X X 28-5284 9400 PLAINS EXPL& PRODTN CO COM 726505100 8,114 210 X 28-5284 210 PLAYBOY ENTERPRISES INC CL B 728117300 42,600 3,000 X X 28-5284 3000 PLAYTEX PRODS INC COM 72813P100 251 24 X 28-5284 24 PLEXUS CORP COM 729132100 225,420 6,000 X 28-5284 6000 PLUG POWER INC COM 72919P103 3,450 690 X 28-5284 690 COLUMN TOTAL 53,711,513 FILE NO. 28-1235 PAGE 140 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: ITEM 2: CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------------- --------- --------- --------- ------- ------ -------- ------- --------- ------- PLUM CREEK TIMBER CO INC COM 729251108 426,578 11,551 X 28-5284 11551 2,628,677 71,180 X X 28-5284 71161 19 131,102 3,550 X X 28-1500 3550 73,860 2,000 X X 28-4580 2000 POGO PRODUCING CO COM 730448107 75,375 1,500 X 28-5284 1500 7,538 150 X X 28-5284 150 POLO RALPH LAUREN CORP CL A 731572103 28,244 466 X 28-5284 466 POLYMEDICA CORP COM 731738100 4,448 105 X X 28-5284 105 POPULAR INC COM 733174106 456,097 21,970 X 28-5284 21970 78,888 3,800 X X 28-5284 3800 PORTEC RAIL PRODS INC COM 736212101 28,278 1,800 X X 28-5284 1800 POST PPTYS INC COM 737464107 64,392 1,447 X 28-5284 1447 89,000 2,000 X X 28-5284 2000 POTASH CORP SASK INC COM 73755L107 48,450 550 X 28-5284 550 17,618 200 X X 28-1500 200 POTLATCH CORP NEW COM 737630103 25,704 600 X 28-5284 600 POWER INTEGRATIONS INC COM 739276103 2,478 100 X 28-5284 100 POWER-ONE INC COM 739308104 7,200 1,000 X 28-5284 1000 POWERSHARES ETF TRUST HI YLD EQ DVDN 73935X302 25,985 1,730 X 28-5284 1730 52,014 3,463 X X 28-5284 3463 POWERSHARES ETF TRUST GOLDEN DRG USX 73935X401 48,198 2,900 X X 28-1500 2900 POWERSHARES ETF TRUST WNDRHLL CLN EN 73935X500 55,224 2,600 X 28-5284 2600 25,488 1,200 X X 28-5284 1200 POWERSHARES ETF TRUST WATER RESOURCE 73935X575 111,680 6,177 X 28-5284 6177 506,240 28,000 X X 28-5284 28000 POWERSHARES ETF TRUST INTL DIV ACHV 73935X716 223,974 13,800 X 28-5284 13800 11,361 700 X X 28-5284 700 COLUMN TOTAL 5,254,091 FILE NO. 28-1235 PAGE 141 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: ITEM 2: CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------------- --------- ---------- --------- ------- ------ -------- ------- --------- ------- POWERSHARES ETF TRUST DYN SEMCT PORT 73935X781 19,600 1,000 X 28-5284 1000 POWERSHARES ETF TRUST DYN BIOT & GEN 73935X856 18,020 1,000 X 28-5284 1000 POWERWAVE TECHNOLOGIES INC COM 739363109 107,920 8,000 X 28-5284 8000 26,980 2,000 X 28-11439 2000 POZEN INC COM 73941U102 5,010 300 X X 28-5284 300 PRAXAIR INC COM 74005P104 29,156,537 528,677 X 28-5284 469712 58965 7,697,561 139,575 X X 28-5284 121860 1400 16315 85,648 1,553 X X 28-1500 1553 545,820 9,897 X 28-4580 9664 233 139,474 2,529 X X 28-4580 2345 184 PRE PAID LEGAL SVCS INC COM 740065107 70,960 2,000 X 28-5284 2000 45,343 1,278 X X 28-1500 1278 PRECISION CASTPARTS CORP COM 740189105 269,557 4,538 X 28-5284 2538 2000 159,667 2,688 X X 28-5284 2688 PRECISION DRILLING TR TR UNIT 740215108 6,468 200 X X 28-5284 200 PREFERRED INCOME STRATEGIES COM 74038E100 1,948 100 X 28-5284 100 38,960 2,000 X X 28-5284 2000 PREMIER FINL BANCORP INC COM 74050M105 7,257 455 X 28-1500 455 PRESIDENTIAL LIFE CORP COM 740884101 38,115 1,500 X 28-5284 1500 PRICE T ROWE GROUP INC COM 74144T108 1,433,042 18,323 X 28-5284 13523 4800 277,646 3,550 X X 28-5284 1000 2550 46,926 600 X X 28-1500 600 123,650 1,581 X X 28-4580 1581 PRIDE INTL INC DEL COM 74153Q102 4,116 132 X X 28-5284 132 3,118 100 X X 28-4580 100 PRIMEWEST ENERGY TR TR UNIT NEW 741930309 19,873 700 X 28-5284 700 356,436 12,555 X X 28-5284 12555 PRINCIPAL FINANCIAL GROUP IN COM 74251V102 481,022 9,857 X 28-5284 9857 436,760 8,950 X X 28-5284 8950 COLUMN TOTAL 41,623,434 FILE NO. 28-1235 PAGE 142 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: ITEM 2: CUSIP MARKET PRINCIPAL -------------- MANAGERS -------------------------- NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------------- --------- ----------- ---------- ------- ------ -------- -------- --------- ------- PRO-DEX INC COLO COM 74265M106 123,578 50,235 X X 28-5284 50235 PROCTER & GAMBLE CO COM 742718109 649,676,130 11,273,228 X 28-5284 11057281 215947 268,861,815 4,665,310 X X 28-5284 4467099 19542 178669 16,220,021 281,451 X 28-1500 5087 276364 6,021,816 104,491 X 28-4580 104055 436 6,017,667 104,419 X X 28-4580 104349 70 PROGENICS PHARMACEUTICALS IN COM 743187106 30,464 1,150 X 28-5284 1150 76,821 2,900 X X 28-5284 2900 PROGRESS ENERGY INC COM 743263105 1,050,770 23,892 X 28-5284 22918 974 1,191,726 27,097 X X 28-5284 26570 527 8,796 200 X X 28-1500 200 PROGRESS SOFTWARE CORP COM 743312100 11,636 400 X 28-4580 400 PROGRESSIVE CORP OHIO COM 743315103 2,222,823 21,320 X 28-5284 9220 12100 465,625 4,466 X X 28-5284 1966 2500 PROLOGIS SH BEN INT 743410102 79,020 1,477 X 28-5284 1477 656,659 12,274 X X 28-5284 12274 PROSPECT STREET INCOME SHS I COM 743590101 3,504 600 X 28-5284 600 PROTECTIVE LIFE CORP COM 743674103 12,435 250 X 28-5284 250 174,836 3,515 X X 28-5284 3508 7 PROVIDENT BANKSHARES CORP COM 743859100 102,425 2,810 X 28-5284 2810 193,258 5,302 X X 28-5284 1302 4000 PROVIDENT ENERGY TR TR UNIT 74386K104 101,031 8,925 X 28-5284 8925 222,608 19,665 X X 28-5284 19665 PROVIDENT FINL SVCS INC COM 74386T105 68,744 3,798 X 28-5284 1900 1898 133,144 7,356 X X 28-5284 6256 1100 PRUDENTIAL FINL INC COM 744320102 1,903,892 25,114 X 28-5284 22387 2727 302,103 3,985 X X 28-5284 3952 33 5,913 78 X 28-4580 78 PT INDOSAT TBK SPONSORED ADR 744383100 28,090 1,000 X 28-5284 1000 COLUMN TOTAL 955,967,350 FILE NO. 28-1235 PAGE 143 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: ITEM 2: CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------------- --------- ---------- --------- ------- ------ -------- ------- --------- ------- PSYCHIATRIC SOLUTIONS INC COM 74439H108 19,878 600 X X 28-5284 600 PUBLIC SVC ENTERPRISE GROUP COM 744573106 9,072,547 141,670 X 28-5284 140820 850 11,967,731 186,879 X X 28-5284 178840 8039 50,271 785 X 28-4580 785 670,755 10,474 X X 28-4580 10474 PUBLIC STORAGE INC COM 74460D109 263,998 3,250 X 28-5284 3250 28,349 349 X X 28-5284 349 PUBLIC STORAGE INC COM A DP1/1000 74460D729 40,800 1,500 X 28-5284 1500 462 17 X X 28-5284 17 PUGET ENERGY INC NEW COM 745310102 99,631 4,704 X 28-5284 3504 1200 85,059 4,016 X X 28-5284 4016 PULTE HOMES INC COM 745867101 347,394 9,042 X 28-5284 942 8100 7,684 200 X X 28-5284 200 PURECYCLE CORP COM NEW 746228303 280 20 X X 28-1500 20 PUTMAN HIGH INCOME SEC FUND SHS BEN INT 746779107 39,300 5,000 X X 28-5284 5000 PUTNAM HIGH YIELD MUN TR SH BEN INT 746781103 14,020 2,000 X X 28-5284 2000 PUTNAM INVT GRADE MUN TR COM 746805100 958 100 X X 28-5284 100 PUTNAM MANAGED MUN INCOM TR COM 746823103 11,085 1,500 X 28-5284 1500 PUTNAM MUN BD FD INC SH BEN INT 74683V100 62,460 4,969 X 28-5284 4969 3,771 300 X X 28-5284 300 PUTNAM PREMIER INCOME TR SH BEN INT 746853100 98,909 16,188 X 28-5284 16188 25,265 4,135 X X 28-5284 4135 9,654 1,580 X X 28-1500 1580 PUTNAM MASTER INTER INCOME T SH BEN INT 746909100 6,010 1,000 X 28-5284 1000 PUTNAM MUN OPPORTUNITIES TR SH BEN INT 746922103 58,800 5,000 X 28-5284 5000 8,820 750 X X 28-5284 750 QLT INC COM 746927102 3,076 400 X 28-5284 400 COLUMN TOTAL..... 22,996,967 FILE NO. 28-1235 PAGE 144 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 2: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: TITLE OF CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------- --------- ---------- --------- ------- ------ -------- ------- --------- ------- QLOGIC CORP COM 747277101 889,481 45,968 X 28-5284 45968 17,415 900 X X 28-5284 900 9,675 500 X X 28-4580 500 QUAKER CHEM CORP COM 747316107 87,000 4,000 X 28-5284 4000 32,625 1,500 X X 28-5284 1500 QUALCOMM INC COM 747525103 28,696,528 567,013 X 28-5284 554153 12860 21,466,636 424,158 X X 28-5284 410353 1900 11905 249,153 4,923 X 28-1500 4923 630,550 12,459 X 28-4580 11955 504 288,173 5,694 X X 28-4580 5516 178 QUALITY SYS INC COM 747582104 4,435 134 X 28-5284 134 QUANTA SVCS INC COM 74762E102 4,806 300 X 28-5284 300 QUANTUM CORP COM DSSG 747906204 29,546 7,900 X 28-5284 7900 23,936 6,400 X X 28-5284 6400 QUEENSTAKE RES LTD YUKON COM 748314101 28,700 70,000 X 28-5284 70000 QUEST DIAGNOSTICS INC COM 74834L100 801,306 15,620 X 28-5284 15620 756,675 14,750 X X 28-5284 12750 2000 186,270 3,631 X X 28-1500 3631 20,520 400 X X 28-4580 400 QUESTAR CORP COM 748356102 42,030 600 X 28-5284 600 2,686,418 38,350 X X 28-5284 38350 QUIKSILVER INC COM 74838C106 34,650 2,500 X 28-5284 2500 QUIGLEY CORP COM NEW 74838L304 101,160 12,000 X 28-5284 12000 QWEST COMMUNICATIONS INTL IN COM 749121109 14,606 2,148 X 28-5284 2148 171,115 25,164 X X 28-5284 25164 6,474 952 X X 28-1500 952 2,346 345 X 28-4580 345 QUOVADX INC COM 74913K106 1,158 363 X X 28-5284 363 RAIT INVT TR COM 749227104 11,296 400 X X 28-5284 400 COLUMN TOTAL 57,294,683 FILE NO. 28-1235 PAGE 145 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: ITEM 2: CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------------- --------- --------- --------- ------- ------ -------- ------- --------- ------- RGC RES INC COM 74955L103 21,718 850 X X 28-5284 850 409 16 X 28-1500 16 R H DONNELLEY CORP COM NEW 74955W307 37,675 647 X 28-5284 647 28,009 481 X X 28-5284 481 4,658 80 X X 28-4580 80 RMK ADVANTAGE INCOME FD INC COM 74963L103 14,498 863 X 28-5284 863 RPC INC COM 749660106 4,570 200 X X 28-5284 200 RPM INTL INC COM 749685103 124,414 6,935 X 28-5284 300 6635 30,498 1,700 X X 28-5284 1700 25,116 1,400 X X 28-4580 1400 RSA SEC INC COM 749719100 71,760 4,000 X 28-5284 4000 54,986 3,065 X 28-1500 3065 RTI INTL METALS INC COM 74973W107 5,485 100 X 28-5284 100 109,700 2,000 X X 28-5284 2000 RF MICRODEVICES INC COM 749941100 4,325 500 X 28-5284 500 207,574 23,997 X 28-1500 23997 5,882 680 X 28-4580 680 RACKABLE SYS INC COM 750077109 5,285 100 X X 28-5284 100 RADIANT SYSTEMS INC COM 75025N102 13,520 1,000 X 28-5284 1000 RADIO ONE INC CL A 75040P108 34,408 4,600 X 28-5284 4600 RADIOSHACK CORP COM 750438103 9,615 500 X 28-5284 500 90,381 4,700 X X 28-5284 4700 RAILAMERICA INC COM 750753105 5,330 500 X 28-5284 500 RAMBUS INC DEL COM 750917106 3,934 100 X 28-5284 100 RALCORP HLDGS INC NEW COM 751028101 56,048 1,473 X X 28-5284 1473 RAMCO- GERSHENSON PPTYS TR COM SH BEN INT 751452202 60,540 2,000 X 28-4580 2000 COLUMN TOTAL 1,030,338 FILE NO. 28-1235 PAGE 146 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: ITEM 2: CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------------- --------- ---------- --------- ------- ------ -------- ------- --------- ------- RANGE RES CORP COM 75281A109 3,277 120 X 28-5284 120 983 36 X X 28-5284 36 RASER TECHNOLOGIES INC COM 754055101 5,863 350 X 28-5284 350 RAYMOND JAMES FINANCIAL INC COM 754730109 33,255 1,125 X 28-5284 1125 1,094 37 X X 28-5284 37 RAYONIER INC COM 754907103 158,015 3,466 X 28-5284 3466 188,971 4,145 X X 28-5284 3561 584 RAYTHEON CO COM NEW 755111507 9,347,784 203,922 X 28-5284 170841 33081 18,965,933 413,742 X X 28-5284 409797 700 3245 123,768 2,700 X 28-1500 2700 6,326 138 X 28-4580 138 204,171 4,454 X X 28-4580 4454 REALNETWORKS INC COM 75605L104 28,463 3,450 X 28-5284 3450 REALTY INCOME CORP COM 756109104 10,895 450 X X 28-5284 450 RECKSON ASSOCS RLTY CORP COM 75621K106 10,905 238 X X 28-5284 238 RED HAT INC COM 756577102 23,895 854 X 28-5284 854 54,561 1,950 X X 28-5284 1950 20,425 730 X 28-11439 730 REDBACK NETWORKS INC COM NEW 757209507 8,980 414 X 28-5284 414 REDWOOD TR INC COM 758075402 12,996 300 X 28-5284 300 REED ELSEVIER N V SPONSORED ADR 758204101 8,604 300 X X 28-5284 300 REGAL ENTMT GROUP CL A 758766109 112,860 6,000 X 28-5284 6000 2,126 113 X X 28-5284 113 95,931 5,100 X X 28-1500 5100 REGENCY CTRS CORP COM 758849103 5,375 80 X 28-5284 80 REGENT COMMUNICATIONS INC DE COM 758865109 2,113,740 458,512 X 28-5284 458512 COLUMN TOTAL 31,549,196 FILE NO. 28-1235 PAGE 147 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 2: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: TITLE OF CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------- --------- ---------- --------- ------- ------ -------- ------- --------- ------- REGIONS FINANCIAL CORP NEW COM 7591EP100 3,043,471 86,536 X 28-5284 73736 12800 649,625 18,471 X X 28-5284 18271 200 7,800,706 221,800 X 28-1500 221800 6,577 187 X X 28-1500 187 RELIANT ENERGY INC COM 75952B105 8,379 792 X 28-5284 792 42,013 3,971 X X 28-5284 3971 RELM WIRELESS CORP COM 759525108 179,343 18,413 X X 28-5284 18413 REMINGTON OIL & GAS CORP COM 759594302 12,966 300 X X 28-5284 300 RENASANT CORP COM 7.60E+111 172,695 4,675 X X 28-1500 4675 RENAL CARE GROUP INC COM 759930100 29,243 610 X 28-5284 310 300 RENT WAY INC COM 76009U104 231 32 X 28-5284 32 721 100 X X 28-5284 100 RENTECH INC COM 760112102 6,525 1,500 X 28-5284 1500 REPUBLIC BANCORP KY CL A 760281204 806,724 39,701 X 28-5284 39701 108,651 5,347 X 28-1500 937 4410 REPUBLIC BANCORP INC COM 760282103 5,623 467 X 28-5284 467 6,020 500 X 28-1500 500 REPUBLIC FIRST BANCORP INC COM 760416107 45,214 3,080 X 28-5284 3080 201,410 13,720 X X 28-5284 13720 32,883 2,240 X X 28-4580 2240 REPUBLIC SVCS INC COM 760759100 8,502 200 X 28-5284 200 9,097 214 X X 28-5284 200 14 RES-CARE INC COM 760943100 1,014,576 55,200 X 28-5284 55200 20,218 1,100 X X 28-5284 1100 25,567 1,391 X 28-1500 1391 RESMED INC COM 761152107 17,592 400 X 28-5284 400 1,102,139 25,060 X X 28-5284 25060 RESOURCE AMERICA INC CL A 761195205 59,401 2,982 X X 28-5284 2982 COLUMN TOTAL 15,416,112 FILE NO. 28-1235 PAGE 148 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: ITEM 2: CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------------- --------- ---------- --------- ------- ------ -------- ------- --------- ------- RESPIRONICS INC COM 761230101 800,379 20,570 X 28-5284 20570 108,948 2,800 X X 28-5284 1100 1700 REUNION INDS INC COM 761312107 5,400 4,500 X 28-5284 4500 REUTERS GROUP PLC SPONSORED ADR 76132M102 99,360 2,414 X 28-5284 2414 48,569 1,180 X X 28-5284 1180 REYNOLDS & REYNOLDS CO CL A 761695105 184,600 6,500 X 28-5284 6500 900,280 31,700 X X 28-5284 30800 900 REYNOLDS AMERICAN INC COM 761713106 358,278 3,396 X 28-5284 2031 1365 219,018 2,076 X X 28-5284 2071 5 RINKER GROUP LTD SPONSORED ADR 76687M101 22,874 325 X 28-5284 325 RIO NARCEA GOLD MINES INC COM 766909105 10,726 5,529 X 28-5284 5529 RIO TINTO PLC SPONSORED ADR 767204100 19,251 93 X 28-5284 93 773,145 3,735 X X 28-5284 1000 2735 RITE AID CORP COM 767754104 118,000 29,500 X 28-5284 29500 11,600 2,900 X X 28-5284 2900 RIVER CITY BK COM 768037103 57,000 5,000 X X 28-5284 5000 RIVIERA HLDGS CORP COM 769627100 2,005 119 X X 28-4580 27 92 ROANOKE ELEC STL CORP COM 769841107 3,230 100 X 28-5284 100 205,105 6,350 X X 28-5284 6350 ROBERT HALF INTL INC COM 770323103 3,110,074 80,551 X 28-5284 76301 4250 298,108 7,721 X X 28-5284 5441 1080 1200 ROCKWELL AUTOMATION INC COM 773903109 1,455,386 20,239 X 28-5284 19119 1120 3,420,759 47,570 X X 28-5284 42095 5475 45,303 630 X X 28-1500 630 10,499 146 X 28-4580 146 ROCKWELL COLLINS INC COM 774341101 1,112,631 19,745 X 28-5284 18625 1120 1,554,584 27,588 X X 28-5284 21200 6388 7,889 140 X 28-4580 140 COLUMN TOTAL 14,963,001 FILE NO. 28-1235 PAGE 149 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: ITEM 2: CUSIP 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 126,480 4,800 X X 28-1500 4800 ROHM & HAAS CO COM 775371107 901,896 18,455 X 28-5284 18455 4,394,977 89,932 X X 28-5284 88423 1509 43,739 895 X 28-1500 895 158,828 3,250 X X 28-4580 3250 ROLLINS INC COM 775711104 94,622 4,675 X 28-5284 4675 50,094 2,475 X X 28-5284 2475 ROPER INDS INC NEW COM 776696106 4,362,111 89,700 X 28-5284 89700 14,589 300 X X 28-5284 300 ROSS STORES INC COM 778296103 165,653 5,675 X 28-5284 1800 3875 3,503 120 X X 28-5284 100 20 ROWAN COS INC COM 779382100 73,853 1,680 X 28-5284 1680 22,332 508 X X 28-5284 508 ROYAL BANCSHARES PA INC CL A 780081105 14,467 590 X X 28-5284 590 875,364 35,700 X 28-1500 35700 ROYAL BK CDA MONTREAL QUE COM 780087102 101,184 1,200 X 28-5284 1200 134,912 1,600 X X 28-5284 1600 ROYAL BK SCOTLAND GROUP PLC ADR PREF SER N 780097770 47,842 1,900 X X 28-5284 1900 ROYAL BK SCOTLAND GROUP PLC SPON ADR F 780097804 20,592 800 X 28-5284 800 25,740 1,000 X X 28-5284 1000 ROYAL BK SCOTLAND GROUP PLC SP ADR PFD K 780097820 6,315 250 X 28-5284 250 111,144 4,400 X X 28-5284 4400 ROYAL BK SCOTLAND GROUP PLC SPON ADR SER H 780097879 17,794 700 X 28-5284 700 161,417 6,350 X X 28-5284 6350 ROYAL BK SCOTLAND GROUP PLC SPON ADR PRF G 780097887 5,122 200 X X 28-5284 200 ROYAL DUTCH SHELL PLC SPON ADR B 780259107 254,411 3,905 X 28-5284 2416 1489 2,434,134 37,362 X X 28-5284 36932 258 172 8,404 129 X X 28-1500 129 210,565 3,232 X 28-4580 3232 COLUMN TOTAL 14,842,084 FILE NO. 28-1235 PAGE 150 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: ITEM 2: CUSIP 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 SHELL PLC SPONS ADR A 780259206 30,820,194 495,024 X 28-5284 483044 11980 65,579,018 1,053,309 X X 28-5284 1024435 5730 23144 96,503 1,550 X X 28-1500 1550 437,190 7,022 X 28-4580 7022 630,943 10,134 X X 28-4580 10076 58 ROYAL GOLD INC COM 780287108 22,474 621 X X 28-5284 621 ROYCE FOCUS TR COM 78080N108 62,886 5,640 X 28-5284 2640 3000 30,116 2,701 X X 28-5284 2701 453,593 40,681 X X 28-1500 40681 ROYCE VALUE TR INC COM 780910105 255,509 12,237 X 28-5284 12237 3,466 166 X X 28-5284 166 RUBY TUESDAY INC COM 781182100 12,832 400 X 28-5284 400 219,299 6,836 X X 28-5284 6836 RUTHS CHRIS STEAK HSE INC COM 783332109 11,905 500 X 28-5284 500 11,905 500 X X 28-5284 500 95,240 4,000 X X 28-1500 4000 RYDER SYS INC COM 783549108 107,293 2,396 X 28-5284 2396 RYDEX ETF TRUST S&P 500 EQ TRD 78355W106 25,578 145 X 28-5284 145 123,304 699 X X 28-5284 699 RYLAND GROUP INC COM 783764103 1,735 25 X 28-5284 25 791,160 11,400 X 28-1143 9 11400 S & T BANCORP INC COM 783859101 605,801 16,561 X 28-5284 15426 1135 892,552 24,400 X X 28-5284 24000 400 SCP POOL CORP COM 784028102 23,455 500 X 28-5284 500 881,908 18,800 X X 28-5284 18800 SEI INVESTMENTS CO COM 784117103 2,741,733 67,647 X 28-5284 61247 6400 3,809,820 94,000 X X 28-5284 94000 SEMCO ENERGY INC COM 78412D109 1,108 200 X X 28-5284 200 SFBC INTL INC COM 784121105 12,190 500 X X 28-4580 500 COLUMN TOTAL 108,760,710 FILE NO. 28-1235 PAGE 151 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: ITEM 2: CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------------- --------- ----------- --------- ------- ------ -------- ------- --------- ------- SJW CORP COM 784305104 42,960 1,600 X X 28-5284 1600 SK TELECOM LTD SPONSORED ADR 78440P108 1,769 75 X 28-5284 75 SL GREEN RLTY CORP COM 78440X101 61,915 610 X X 28-5284 600 10 SLM CORP COM 78442P106 406,534 7,827 X 28-5284 7827 812,082 15,635 X X 28-5284 7235 8400 SPDR TR UNIT SER 1 78462F103 312,868,618 2,409,833 X 28-5284 2376625 33208 136,950,137 1,054,842 X X 28-5284 1030977 2495 21370 5,394,566 41,551 X 28-4580 41351 200 2,370,696 18,260 X X 28-4580 17560 700 S1 CORPORATION COM 78463B101 2,520 500 X 28-1500 500 SPX CORP COM 784635104 93,699 1,754 X 28-5284 354 1400 219,343 4,106 X X 28-5284 4106 11,325 212 X X 28-4580 212 S Y BANCORP INC COM 785060104 233,447 8,836 X 28-5284 7836 1000 167,503 6,340 X X 28-5284 6340 3,857 146 X 28-1500 146 SABRE HLDGS CORP CL A 785905100 3,388 144 X X 28-5284 144 SAFECO CORP COM 786429100 25,554,580 508,954 X 28-5284 498894 10060 9,640,571 192,005 X X 28-5284 179286 5085 7634 759,025 15,117 X 28-4580 14697 420 299,001 5,955 X X 28-4580 5955 SAFEGUARD SCIENTIFICS INC COM 786449108 29,270 11,850 X 28-5284 11650 200 494 200 X X 28-5284 200 49,400 20,000 X X 28-1500 20000 SAFENET INC COM 78645R107 8,897 336 X X 28-5284 336 SAFEWAY INC COM NEW 786514208 160,140 6,375 X 28-5284 4975 1400 180,362 7,180 X X 28-5284 7180 62,147 2,474 X X 28-1500 2474 ST JOE CO COM 790148100 75,408 1,200 X 28-5284 1200 2,262 36 X X 28-4580 8 28 COLUMN TOTAL 496,465,916 FILE NO. 28-1235 PAGE 152 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: ITEM 2: CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------------- --------- ---------- --------- ------- ------ -------- ------- --------- ------- ST JUDE MED INC COM 790849103 420,250 10,250 X 28-5284 10250 322,875 7,875 X X 28-5284 7675 200 ST PAUL TRAVELERS INC COM 792860108 6,932,668 165,893 X 28-5284 156082 9811 8,895,879 212,871 X X 28-5284 202465 10406 328,052 7,850 X X 28-1500 7850 1,905,206 45,590 X 28-11439 45590 21,104 505 X 28-4580 505 87,717 2,099 X X 28-4580 2099 SAKS INC COM 79377W108 3,860 200 X 28-5284 200 SALOMON BROS HIGH INCOME FD COM 794907105 9,920 1,000 X 28-5284 1000 8,343 841 X X 28-5284 841 SALOMON BR GLBL PRTNRS INC F COM 794914101 3,435 300 X X 28-5284 300 SALOMON BROS MUN PARTNERS FD COM 794916106 24,395 1,700 X X 28-5284 1700 SALISBURY BANCORP INC COM 795226109 7,300 200 X 28-5284 200 SALIX PHARMACEUTICALS INC COM 795435106 9,163 555 X X 28-5284 34 521 SALOMON BROTHERS FD INC COM 795477108 212,088 13,578 X 28-5284 13578 46,860 3,000 X X 28-5284 3000 SAMARITAN PHARMACEUTICALS COM 79586Q108 47,925 67,500 X 28-5284 67500 SAN JUAN BASIN RTY TR UNIT BEN INT 798241105 121,458 2,966 X 28-5284 2966 345,577 8,439 X X 28-5284 8439 32,760 800 X 28-1500 800 SAN PAOLO-IMI S P A SPONSORED ADR 799175104 9,823 275 X 28-5284 275 SANDISK CORP COM 80004C101 57,520 1,000 X 28-5284 1000 118,491 2,060 X X 28-5284 2060 SANMINA SCI CORP COM 800907107 472 115 X 28-5284 115 41,562 10,137 X X 28-5284 10000 137 3,346 816 X X 28-1500 816 SANOFI AVENTIS SPONSORED ADR 80105N105 2,576,488 54,299 X 28-5284 8899 45400 1,081,907 22,801 X X 28-5284 9781 13020 COLUMN TOTAL 23,676,444 FILE NO. 28-1235 PAGE 153 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: ITEM 2: CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------------- --------- ----------- --------- ------- ------ -------- ------- --------- ------- SANTARUS INC COM 802817304 101,659 13,609 X 28-1500 13609 SAP AKTIENGESELLSCHAFT SPONSORED ADR 803054204 561,180 10,331 X 28-5284 10331 122,111 2,248 X X 28-5284 2248 SAPIENT CORP COM 803062108 9,919 1,300 X 28-5284 1300 SARA LEE CORP COM 803111103 17,927,740 1,002,670 X 28-5284 992782 9888 6,764,344 378,319 X X 28-5284 340639 8500 29180 33,543 1,876 X X 28-1500 1876 89,400 5,000 X 28-11439 5000 106,225 5,941 X 28-4580 5941 289,656 16,200 X X 28-4580 16200 SASOL LTD SPONSORED ADR 803866300 11,349 300 X X 28-5284 300 3,480 92 X X 28-4580 21 71 SATYAM COMPUTER SERVICES LTD ADR 804098101 2,020,137 46,164 X 28-5284 46164 1,690,493 38,631 X X 28-5284 38631 SAUL CTRS INC COM 804395101 456,664 10,400 X X 28-5284 10400 SCANA CORP NEW COM 80589M102 192,982 4,918 X 28-5284 4918 230,613 5,877 X X 28-5284 5877 SCHEIN HENRY INC COM 806407102 107,206 2,240 X 28-5284 2240 215,370 4,500 X X 28-1500 4500 SCHERING A G SPONSORED ADR 806585204 59,748 575 X X 28-5284 575 SCHERING PLOUGH CORP COM 806605101 15,437,503 812,928 X 28-5284 752557 60371 11,554,617 608,458 X X 28-5284 571078 780 36600 1,712,898 90,200 X X 28-1500 90200 58,869 3,100 X 28-4580 3100 1,157,763 60,967 X X 28-4580 60967 SCHLUMBERGER LTD COM 806857108 70,928,942 560,393 X 28-5284 548403 11990 53,854,776 425,494 X X 28-5284 414549 2310 8635 139,227 1,100 X 28-1500 1100 1,461,377 11,546 X 28-4580 11266 280 479,953 3,792 X X 28-4580 3743 49 SCHNITZER STL INDS CL A 806882106 8,570 200 X 28-5284 200 COLUMN TOTAL 187,788,314 FILE NO. 28-1235 PAGE 154 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: ITEM 2: CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------------- --------- --------- --------- ------- ------ -------- ------- --------- ------- SCHOLASTIC CORP COM 807066105 535 20 X X 28-5284 20 SCHOOL SPECIALTY INC COM 807863105 518 15 X X 28-5284 15 SCHWAB CHARLES CORP NEW COM 808513105 783,124 45,504 X 28-5284 45504 226,380 13,154 X X 28-5284 13154 103,260 6,000 X X 28-1500 6000 SCHWEITZER- MAUDUIT INTL INC COM 808541106 49,176 2,049 X X 28-5284 2049 SCICLONE PHARMACEUTICALS INC COM 80862K104 714 200 X X 28-5284 200 SCIENTIFIC GAMES CORP CL A 80874P109 35,130 1,000 X 28-5284 1000 SCIENTIFIC LEARNING CORP COM 808760102 33,250 7,000 X 28-5284 7000 SCOTTISH PWR PLC SPON ADR FINAL 81013T705 2,337 58 X 28-5284 58 231,224 5,739 X X 28-5284 4541 1198 3,183 79 X X 28-4580 18 61 SCOTTS MIRACLE GRO CO CL A 810186106 22,880 500 X 28-5284 500 37,294 815 X X 28-5284 800 15 88,957 1,944 X X 28-1500 1944 SCRIPPS E W CO OHIO CL A 811054204 197,842 4,425 X 28-5284 925 3500 365,012 8,164 X X 28-5284 4760 3404 SCS TRANSN INC COM 81111T102 2,183 75 X X 28-5284 75 SCUDDER NEW ASIA FD INC COM 811183102 11,095 500 X 28-5284 500 SEA CONTAINERS LTD CL A 811371707 1,399 194 X X 28-4580 194 SEACHANGE INTL INC COM 811699107 80,474 10,357 X 28-1500 10357 SEACOAST BKG CORP FLA COM 811707306 86,107 2,958 X 28-5284 2958 249,764 8,580 X X 28-5284 8580 48,032 1,650 X X 28-1500 1650 SEACOR HOLDINGS INC COM 811904101 8,474 107 X X 28-5284 107 COLUMN TOTAL 2,668,344 FILE NO. 28-1235 PAGE 155 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 1: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) NAME OF ITEM 2: CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------- -------------- --------- ---------- --------- ------- ------ -------- ------- --------- ------- SEALED AIR CORP NEW COM 81211K100 51,504 890 X 28-5284 890 629,047 10,870 X X 28-5284 10175 695 110,358 1,907 X 28-1500 1907 SEARS HLDGS CORP COM 812350106 288,576 2,189 X 28-5284 1931 258 961,304 7,292 X X 28-5284 7253 39 22,675 172 X 28-1500 172 42,713 324 X X 28-4580 324 SELECT SECTOR SPDR TR SBI MATERIALS 81369Y100 110,249 3,408 X 28-5284 3408 10,611 328 X X 28-5284 328 46,002 1,422 X X 28-1500 1422 23,357 722 X 28-4580 722 28,371 877 X X 28-4580 877 SELECT SECTOR SPDR TR SBI HEALTHCARE 81369Y209 122,771 3,839 X 28-5284 3839 339,244 10,608 X X 28-5284 10608 32,652 1,021 X X 28-1500 1021 3,198 100 X X 28-4580 100 SELECT SECTOR SPDR TR SBI CONS STPLS 81369Y308 56,947 2,413 X 28-5284 2413 121,587 5,152 X X 28-5284 5152 40,686 1,724 X X 28-1500 1724 167,654 7,104 X X 28-4580 7104 SELECT SECTOR SPDR TR SBI CONS DISCR 81369Y407 366,221 10,880 X 28-5284 10880 616,012 18,301 X X 28-5284 18301 23,663 703 X X 28-1500 703 173,113 5,143 X X 28-4580 5143 SELECT SECTOR SPDR TR SBI INT-ENERGY 81369Y506 4,362,336 80,190 X 28-5284 80015 175 2,429,504 44,660 X X 28-5284 44320 340 438,029 8,052 X 28-1500 8052 200,246 3,681 X 28-4580 3681 38,080 700 X X 28-4580 700 SELECT SECTOR SPDR TR SBI INT-FINL 81369Y605 140,583 4,319 X 28-5284 4319 342,686 10,528 X X 28-5284 10528 51,299 1,576 X X 28-1500 1576 368,954 11,335 X X 28-4580 11335 COLUMN TOTAL 12,760,232 FILE NO. 28-1235 PAGE 156 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 1: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) NAME OF ITEM 2: CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------- -------------- --------- ---------- --------- ------- ------ -------- ------- --------- ------- SELECT SECTOR SPDR TR SBI INT-INDS 81369Y704 17,711 524 X 28-5284 524 587,444 17,380 X X 28-5284 17380 35,253 1,043 X X 28-1500 1043 135,200 4,000 X 28-4580 4000 172,380 5,100 X X 28-4580 5100 SELECT SECTOR SPDR TR SBI INT-TECH 81369Y803 8,169,350 368,986 X 28-5284 368143 843 6,195,480 279,832 X X 28-5284 279832 30,155 1,362 X X 28-1500 1362 64,095 2,895 X 28-4580 2895 239,400 10,813 X X 28-4580 10813 SELECT SECTOR SPDR TR SBI INT-UTILS 81369Y886 1,266,034 41,065 X 28-5284 41065 1,722,996 55,887 X X 28-5284 55887 399,526 12,959 X X 28-1500 12959 46,245 1,500 X X 28-4580 1500 SECURE COMPUTING CORP COM 813705100 103,860 9,000 X 28-5284 9000 SELECT COMFORT CORP COM 81616X103 1,637,766 41,410 X X 28-5284 41410 SELECTIVE INS GROUP INC COM 816300107 257,315 4,855 X 28-5284 4855 23,850 450 X X 28-5284 450 1,955,700 36,900 X X 28-4580 36900 SELIGMAN QUALITY MUN FD INC COM 816343107 30,329 2,333 X X 28-5284 2333 SEMPRA ENERGY COM 816851109 108,205 2,329 X 28-5284 2329 427,571 9,203 X X 28-5284 8301 902 15,146 326 X X 28-4580 268 58 SEMITOOL INC COM 816909105 3,411 300 X X 28-5284 300 SENIOR HIGH INCOME PORTFOLIO COM 81721E107 11,720 2,000 X 28-5284 2000 SENIOR HSG PPTYS TR SH BEN INT 81721M109 21,901 1,210 X 28-5284 1210 2,715 150 X X 28-5284 150 SEPRACOR INC COM 817315104 31,727 650 X 28-5284 200 450 SERONO S A SPONSORED ADR 81752M101 1,588,837 91,260 X 28-5284 82260 9000 191,823 11,018 X X 28-5284 8158 2260 600 COLUMN TOTAL 25,493,145 FILE NO. 28-1235 PAGE 157 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: ITEM 2: CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------------- --------- ---------- --------- ------- ------ -------- ------- --------- ------- SEROLOGICALS CORP COM 817523103 416 17 X X 28-5284 17 SERVICE CORP INTL COM 817565104 17,160 2,200 X 28-5284 2200 8,486 1,088 X X 28-5284 888 200 SERVICEMASTER CO COM 81760N109 420,811 32,074 X 28-5284 32074 49,856 3,800 X X 28-5284 3800 3,779 288 X 28-4580 288 SHANDA INTERACTIVE ENTMT LTD SPONSORED ADR 81941Q203 57,400 4,000 X X 28-1500 4000 SHAW GROUP INC COM 820280105 201,582 6,631 X 28-5284 6631 SHERWIN WILLIAMS CO COM 824348106 10,247,676 207,275 X 28-5284 159050 48225 2,814,372 56,925 X X 28-5284 55925 1000 419,004 8,475 X X 28-1500 8475 168,096 3,400 X X 28-4580 3400 SHIRE PLC SPONSORED ADR 82481R106 1,518,549 32,664 X 28-5284 29374 3290 527,243 11,341 X X 28-5284 8603 690 2048 SHORE BANCSHARES INC COM 825107105 3,108,966 88,348 X X 28-5284 88348 SHORE FINL CORP COM 82511E109 30,924 1,800 X 28-5284 1800 SHUFFLE MASTER INC COM 825549108 18,406 515 X 28-5284 200 315 SHURGARD STORAGE CTRS INC COM 82567D104 74,292 1,115 X 28-5284 1115 SIEMENS A G SPONSORED ADR 826197501 163,048 1,750 X 28-5284 250 1500 46,585 500 X X 28-5284 100 400 SIERRA PAC RES NEW COM 826428104 35,740 2,588 X X 28-5284 2588 SIGMA ALDRICH CORP COM 826552101 446,056 6,780 X 28-5284 6780 970,337 14,749 X X 28-5284 13249 1500 SILICON IMAGE INC COM 82705T102 15,465 1,500 X X 28-5284 1500 44,343 4,301 X 28-1500 4301 COLUMN TOTAL 21,408,592 FILE NO. 28-1235 PAGE 158 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: ITEM 2: CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------------- --------- ---------- --------- ------- ------ -------- ------- --------- ------- SIMON PPTY GROUP INC NEW COM 828806109 170,972 2,032 X 28-5284 2032 1,093,820 13,000 X X 28-5284 13000 25,242 300 X 28-4580 300 46,445 552 X X 28-4580 509 43 SIMPSON MANUFACTURING CO INC COM 829073105 4,330 100 X X 28-5284 100 SINOPEC SHANGHAI PETROCHEMIC SPON ADR H 82935M109 17,088 300 X 28-5284 300 SIRIUS SATELLITE RADIO INC COM 82966U103 285,897 56,390 X 28-5284 56390 126,750 25,000 X X 28-5284 25000 30,420 6,000 X X 28-1500 6000 91 18 X X 28-4580 18 SIRVA INC COM 82967Y104 511,800 60,000 X X 28-5284 60000 SIZELER PPTY INVS INC COM 830137105 7,380 500 X X 28-5284 500 SKY FINL GROUP INC COM 83080P103 333,635 12,590 X 28-5284 12350 240 1,748,868 65,995 X X 28-5284 65995 SKYWORKS SOLUTIONS INC COM 83088M102 5,532 816 X 28-5284 816 6,848 1,010 X X 28-5284 870 140 92,628 13,662 X 28-1500 13662 SLADES FERRY BANCORP COM 830896106 12,250 700 X 28-5284 700 SMITH & NEPHEW PLC SPDN ADR NEW 83175M205 22,305 500 X 28-5284 500 111,525 2,500 X X 28-5284 2500 SMITH A O COM 831865209 185,328 3,510 X 28-5284 3510 31,680 600 X X 28-5284 600 SMITH INTL INC COM 832110100 6,072,384 155,862 X 28-5284 151304 4558 2,777,225 71,284 X X 28-5284 67684 3600 10,831 278 X X 28-4580 278 SMITHFIELD FOODS INC COM 832248108 15,257 520 X 28-5284 520 528 18 X X 28-5284 18 COLUMN TOTAL 13,747,059 FILE NO. 28-1235 PAGE 159 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 2: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: TITLE OF CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------- --------- ---------- --------- ------- ------ -------- ------- --------- ------- SMUCKER J M CO COM NEW 832696405 2,685,427 67,643 X 28-5284 67284 359 1,390,850 35,034 X X 28-5284 33453 1581 7,027 177 X X 28-1500 177 84,482 2,128 X X 28-4580 2128 SMURFIT-STONE CONTAINER CORP COM 832727101 111,545 8,220 X 28-5284 8220 5,374 396 X X 28-5284 396 SNAP ON INC COM 833034101 25,922 680 X 28-5284 680 17,993 472 X X 28-5284 450 22 SOLECTRON CORP COM 834182107 29,160 7,290 X 28-5284 7290 4,960 1,240 X X 28-5284 1240 SOLEXA INC COM 83420X105 20 2 X 28-5284 2 20 2 X X 28-4580 2 SOMERA COMMUNICATION COM 834458101 4,250 10,000 X 28-5284 10000 SONIC CORP COM 835451105 33,409 951 X X 28-5284 936 15 SONOCO PRODS CO COM 835495102 672,760 19,863 X 28-5284 16213 3650 639,804 18,890 X X 28-5284 18890 70,416 2,079 X X 28-1500 2079 SONOSITE INC COM 83568G104 1,341 33 X X 28-5284 33 SONY CORP ADR NEW 835699307 139,131 3,020 X 28-5284 3020 403,573 8,760 X X 28-5284 5260 3500 SONUS NETWORKS INC COM 835916107 5,480 1,000 X X 28-5284 1000 14,248 2,600 X 28-1500 2600 SOURCE CAP INC COM 836144105 502,165 6,638 X 28-5284 6638 24,208 320 X X 28-5284 320 SOUTH FINL GROUP INC COM 837841105 9,937,000 380,000 X 28-1500 380000 SOUTH JERSEY INDS INC COM 838518108 451,319 16,550 X 28-5284 16412 138 1,356,955 49,760 X X 28-5284 48160 1600 COLUMN TOTAL 18,618,839 FILE NO. 28-1235 PAGE 160 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 2: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: TITLE OF CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------- --------- ---------- --------- ------- ------ -------- ------- --------- ------- SOUTHERN CO COM 842587107 5,988,947 182,757 X 28-5284 179420 3337 12,265,844 374,301 X X 28-5284 364444 600 9257 177,351 5,412 X 28-1500 5412 30,345 926 X 28-4580 926 376,691 11,495 X X 28-4580 7922 3573 SOUTHERN COPPER CORP COM 84265V105 648,806 7,680 X X 28-5284 7680 SOUTHERN UN CO NEW COM 844030106 1,573,030 63,352 X 28-5284 57110 6242 161,941 6,522 X X 28-5284 2135 450 3937 86,756 3,494 X X 28-1500 3494 SOUTHSIDE BANCSHARES INC COM 84470P109 135,581 6,702 X X 28-5284 6702 SOUTHWEST AIRLS CO COM 844741108 180,098 10,011 X 28-5284 10011 521,530 28,990 X X 28-5284 28890 100 6,746 375 X X 28-1500 375 106,411 5,915 X X 28-4580 5915 SOUTHWEST WTR CO COM 845331107 8,369 525 X 28-5284 525 107,483 6,743 X X 28-5284 6533 210 8,783 551 X X 28-1500 551 SOUTHWESTERN ENERGY CO COM 845467109 38,628 1,200 X 28-5284 1200 448,085 13,920 X X 28-5284 13920 386,280 12,000 X X 28-4580 12000 SOVEREIGN BANCORP INC COM 845905108 662,361 30,231 X 28-5284 30231 224,753 10,258 X X 28-5284 4258 6000 1,825,103 83,300 X 28-11439 83300 10,955 500 X X 28-4580 500 SOVRAN SELF STORAGE INC COM 84610H108 38,640 700 X 28-5284 700 SPATIALIGHT INC COM 847248101 17,700 5,000 X 28-5284 5000 SPECTRUM CTL INC COM 847615101 11,452 1,400 X 28-5284 1400 SPHERIX INC COM 84842R106 387,090 140,760 X 28-5284 140760 SPRINT NEXTEL CORP COM FON 852061100 3,667,497 141,931 X 28-5284 141131 800 9,981,475 386,280 X X 28-5284 375287 1880 9113 63,153 2,444 X X 28-4580 2444 COLUMN TOTAL 40,147,884 FILE NO. 28-1235 PAGE 161 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: ITEM 2: CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------------- --------- ---------- --------- ------- ------ -------- ------- --------- ------- STANCORP FINL GROUP INC COM 852891100 5,627 104 X 28-5284 104 STANDARD PAC CORP NEW COM 85375C101 90,102 2,680 X 28-5284 2680 841 25 X X 28-5284 25 STANLEY WKS COM 854616109 157,046 3,100 X 28-5284 3100 83,589 1,650 X X 28-5284 1350 300 STAPLES INC COM 855030102 10,521,564 412,287 X 28-5284 351438 60849 2,628,815 103,010 X X 28-5284 101210 450 1350 126,707 4,965 X X 28-1500 4965 STARBUCKS CORP COM 855244109 332,273 8,830 X 28-5284 8830 231,801 6,160 X X 28-5284 6160 202,788 5,389 X X 28-1500 5389 32,061 852 X X 28-4580 852 STARWOOD HOTELS&RESORTS WRLD PAIRED CTF 85590A203 177,724 2,624 X 28-5284 2624 716,719 10,582 X X 28-5284 9232 550 800 STATE STR CORP COM 857477103 2,427,534 40,171 X 28-5284 40171 2,238,206 37,038 X X 28-5284 35038 2000 30,215 500 X 28-4580 500 362,580 6,000 X X 28-4580 6000 STATION CASINOS INC COM 857689103 1,773,761 22,348 X 28-5284 22348 150,327 1,894 X X 28-5284 1394 500 2,699 34 X X 28-4580 7 27 STATOIL ASA SPONSORED ADR 85771P102 21,360 750 X X 28-5284 750 STEEL DYNAMICS INC COM 858119100 5,389 95 X 28-5284 95 STEEL TECHNOLOGIES INC COM 858147101 39,390 1,621 X 28-1500 1621 STEELCLOUD INC COM 85815M107 350 200 X X 28-1500 200 STEIN MART INC COM 858375108 610 35 X X 28-5284 35 STERICYCLE INC COM 858912108 74,382 1,100 X 28-5284 1100 COLUMN TOTAL 22,434,460 FILE NO. 28-1235 PAGE 162 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: ITEM 2: CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------------- --------- --------- --------- ------- ------ -------- ------- --------- ------- STERIS CORP COM 859152100 54,296 2,200 X 28-5284 2200 22,212 900 X X 28-5284 900 89,514 3,627 X X 28-1500 3627 STERLING FINL CORP COM 859317109 32,760 1,500 X 28-5284 1500 180,508 8,265 X X 28-5284 2265 6000 STERLING FINL CORP WASH COM 859319105 493 17 X X 28-5284 17 STEWART ENTERPRISES INC CL A 860370105 6,852 1,200 X X 28-5284 1200 STONE ENERGY CORP COM 861642106 4,413 100 X X 28-5284 100 STORA ENSO CORP SPON ADR REP R 86210M106 233,443 15,208 X 28-5284 15208 STRATASYS INC COM 862685104 58,960 2,000 X 28-5284 2000 103,180 3,500 X X 28-5284 3500 STRATEGIC DIAGNOSTICS INC COM 862700101 13,280 4,000 X 28-5284 4000 1,129 340 X X 28-5284 340 STRATTEC SEC CORP COM 863111100 143,194 3,840 X 28-5284 3840 14,916 400 X X 28-5284 400 STRATUS PPTYS INC COM NEW 863167201 7,350 300 X 28-5284 300 STRAYER ED INC COM 863236105 511 5 X 28-5284 5 STREETTRACKS SER TR DJ WL SM CP VL 86330E406 77,109 1,149 X X 28-5284 1149 STREETTRACKS SER TR DJ WLSH REIT 86330E604 737,700 9,482 X 28-5284 7427 2055 1,000,741 12,863 X X 28-5284 11888 975 STREETTRACKS SER TR MRGN STNLY TCH 86330E703 683,974 12,527 X 28-5284 12527 36,364 666 X X 28-5284 666 159,541 2,922 X 28-4580 2922 56,020 1,026 X X 28-4580 1026 STREETTRACKS GOLD TR GOLD SHS 863307104 912,170 15,700 X 28-5284 15700 148,155 2,550 X X 28-5284 1950 600 39,450 679 X X 28-4580 468 211 STRIDE RITE CORP COM 863314100 550 38 X 28-5284 38 COLUMN TOTAL 4,818,785 FILE NO. 28-1235 PAGE 163 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: ITEM 2: CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------------- --------- ---------- --------- ------- ------ -------- ------- --------- ------- STRYKER CORP COM 863667101 31,369,175 707,469 X 28-5284 706269 1200 23,342,571 526,445 X X 28-5284 517870 3350 5225 213,408 4,813 X 28-4580 4813 184,055 4,151 X X 28-4580 3827 324 STUDENT LN CORP COM 863902102 1,165 5 X X 28-5284 5 STURM RUGER & CO INC COM 864159108 3,192 400 X 28-5284 400 14,077 1,764 X X 28-5284 1764 SUBURBAN PROPANE PARTNERS L UNIT LTD PARTN 864482104 11,868 400 X 28-5284 400 72,692 2,450 X X 28-5284 2450 SUN BANCORP INC COM 86663B102 25,799 1,323 X 28-5284 1323 10,299,764 528,193 X 28-1500 528193 SUN INC SDCV 6.750% 6 866762AG2 2,510,000 10,000 X X 28-5284 10000 SUN LIFE FINL INC COM 866796105 1,603,959 37,687 X 28-5284 29182 8505 221,823 5,212 X X 28-5284 5212 SUN MICROSYSTEMS INC COM 866810104 1,368,828 266,828 X 28-5284 128128 138700 616,600 120,195 X X 28-5284 87895 32300 1,539 300 X 28-1500 300 SUNCOM WIRELESS HLDGS INC CL A 86722Q108 9,650 5,000 X 28-5284 5000 SUNCOR ENERGY INC COM 867229106 844,447 10,964 X 28-5284 9889 1075 592,130 7,688 X X 28-5284 7688 777,902 10,100 X X 28-1500 10100 4,698 61 X X 28-4580 14 47 SUNOCO LOGISTICS PRTNRS L P COM UNITS 86764L108 49,315 1,175 X 28-5284 1025 150 331,563 7,900 X X 28-5284 7900 SUNOCO INC COM 86764P109 726,288 9,363 X 28-5284 9363 4,094,920 52,790 X X 28-5284 52790 3,180 41 X X 28-4580 8 33 SUNRISE SENIOR LIVING INC COM 86768K106 40,919 1,050 X 28-5284 200 850 857 22 X X 28-5284 22 SUNSET FINANCIAL RESOURCES I COM 867708109 18,260 2,000 X 28-4580 2000 COLUMN TOTAL 79,354,644 FILE NO. 28-1235 PAGE 164 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: ITEM 2: CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------------- --------- ---------- --------- ------- ------ -------- ------- --------- ------- SUNSTONE HOTEL INVS INC NEW COM 867892101 118,487 4,090 X 28-5284 4090 SUNTRUST BKS INC COM 867914103 3,159,312 43,421 X 28-5284 42021 1400 2,817,631 38,725 X X 28-5284 35650 2400 675 SUPERCONDUCTOR TECHNOLOGIES INC COM 867931107 283,822 71,312 X 71312 SUPERIOR INDS INTL INC COM 868168105 23,232 1,200 X X 28-5284 1200 19,360 1,000 X 28-4580 1000 SUPERVALU INC COM 868536103 270,600 8,780 X 28-5284 5800 2980 154,100 5,000 X X 28-5284 5000 SURMODICS INC COM 868873100 99,008 2,800 X 28-5284 2800 159,120 4,500 X X 28-5284 4500 SUSQUEHANNA BANCSHARES INC P COM 869099101 12,885 500 X 28-5284 500 659,429 25,589 X X 28-5284 23939 1650 SWIFT ENERGY CO COM 870738101 15,733 420 X X 28-5284 420 SWIFT TRANSN CO COM 870756103 1,738 80 X 28-5284 80 SWISS HELVETIA FD INC COM 870875101 183,103 10,925 X X 28-5284 10925 SYBASE INC COM 871130100 101,376 4,800 X 28-5284 3300 1500 92,928 4,400 X X 28-5284 2300 2100 SYBRON DENTAL SPECIALTIES IN COM 871142105 27,466 666 X X 28-5284 666 SYCAMORE NETWORKS INC COM 871206108 141 30 X 28-5284 30 SYMANTEC CORP COM 871503108 2,034,158 120,865 X 28-5284 68405 52460 559,985 33,273 X X 28-5284 27902 5371 1,027 61 X 28-1500 61 49,228 2,925 X X 28-4580 2925 SYMBOL TECHNOLOGIES INC COM 871508107 33,517 3,168 X 28-5284 3168 21,848 2,065 X X 28-5284 2065 16,060 1,518 X X 28-1500 1518 SYNGENTA AG SPONSORED ADR 87160A100 6,240 222 X 28-5284 222 22,629 805 X X 28-5284 5 800 COLUMN TOTAL 10,944,163 FILE NO. 28-1235 PAGE 165 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: ITEM 2: CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------------- --------- ---------- --------- ------- ------ -------- ------- --------- ------- SYNOVUS FINL CORP COM 87161C105 40,643,262 1,500,305 X 28-5284 1387776 112529 5,776,834 213,246 X X 28-5284 202921 4225 6100 653,980 24,141 X 28-1500 13642 10499 SYNERGY FINANCIAL GROUP INC COM 87162V102 7,260 500 X 28-5284 500 SYNTROLEUM CORP COM 871630109 8,270 1,000 X 28-5284 1000 SYPRIS SOLUTIONS INC COM 871655106 96,459 10,229 X 28-1500 10229 SYSCO CORP COM 871829107 35,447,428 1,106,004 X 28-5284 1105255 749 8,206,947 256,067 X X 28-5284 251072 1125 3870 72,209 2,253 X X 28-1500 2253 64,869 2,024 X 28-4580 2024 349,730 10,912 X X 28-4580 10912 TCF FINL CORP COM 872275102 1,189,650 46,200 X 28-5284 41500 4700 437,750 17,000 X X 28-5284 17000 TC PIPELINES LP UT COM LTD PRT 87233Q108 135,960 4,000 X X 28-5284 4000 TCW STRATEGIC INCOME FUND IN COM 872340104 6,882 1,371 X X 28-5284 1371 TD BANKNORTH INC COM 87235A101 170,524 5,810 X 28-5284 4480 1330 230,985 7,870 X X 28-5284 2908 2982 1980 TDK CORP AMERN DEP SH 872351408 22,515 300 X X 28-5284 300 TD AMERITRADE HLDG CORP COM 87236Y108 23,270 1,115 X X 28-5284 1115 TECO ENERGY INC COM 872375100 371,082 23,020 X 28-5284 23020 895,611 55,559 X X 28-5284 55559 16,120 1,000 X 28-1500 1000 TEL OFFSHORE TR UNIT BEN INT 872382106 874 101 X X 28-5284 1 100 TEPPCO PARTNERS L P UT LTD PARTNER 872384102 539,632 14,870 X 28-5284 14870 257,659 7,100 X X 28-5284 7100 3,992 110 X X 28-4580 27 83 TF FINL CORP COM 872391107 30,000 1,000 X X 28-5284 1000 TGC INDS INC COM NEW 872417308 656,400 60,000 X 28-5284 60000 COLUMN TOTAL 96,316,154 FILE NO. 28-1235 PAGE 166 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: ITEM 2: CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------------- --------- ---------- --------- ------- ------ -------- ------- --------- ------- THQ INC COM NEW 872443403 51,780 2,000 X X 28-5284 2000 11,495 444 X 28-1500 444 TJX COS INC NEW COM 872540109 37,549,384 1,512,868 X 28-5284 1455168 57700 9,854,111 397,023 X X 28-5284 387053 4300 5670 300,421 12,104 X 28-1500 12104 27,426 1,105 X 28-4580 1105 120,427 4,852 X X 28-4580 4852 TLC VISION CORP COM 872549100 2,600 400 X 28-1500 400 TNT N V SPONSORED ADR 87260W101 6,906 200 X 28-5284 200 TRC COS INC COM 872625108 13,530 1,000 X 28-4580 1000 TRW AUTOMOTIVE HLDGS CORP COM 87264S106 3,332 143 X X 28-5284 143 TVI CORP NEW COM 872916101 9,875 2,500 X 28-5284 2500 82,776 20,956 X X 28-5284 20956 TNS INC COM 872960109 79,531 3,755 X X 28-5284 3755 TXU CORP COM 873168108 917,625 20,501 X 28-5284 20431 70 1,254,444 28,026 X X 28-5284 27726 300 99,457 2,222 X X 28-1500 2222 5,908 132 X X 28-4580 132 TAIWAN SEMICONDUCTOR MFG LTD SPONSORED ADR 874039100 36,015 3,580 X 28-5284 3580 TAKE-TWO INTERACTIVE SOFTWAR COM 874054109 1,400 75 X 28-5284 75 933 50 X X 28-5284 50 TALBOTS INC COM 874161102 8,061 300 X X 28-5284 300 TALISMAN ENERGY INC COM 87425E103 21,272 400 X X 28-5284 400 TALK AMERICA HOLDINGS INC COM 87426R202 1,406,426 164,880 X 164880 TANGER FACTORY OUTLET CTRS I COM 875465106 82,584 2,400 X 28-5284 2400 94,628 2,750 X X 28-5284 2750 COLUMN TOTAL 52,042,347 FILE NO. 28-1235 PAGE 167 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: ITEM 2: CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------------- --------- ----------- --------- ------- ------ -------- ------- --------- ------- TARGET CORP COM 87612E106 173,698,889 3,339,721 X 28-5284 2758713 581008 12,154,373 233,693 X X 28-5284 225035 300 8358 271,908 5,228 X 28-1500 5228 49,045 943 X 28-4580 943 1,414,672 27,200 X X 28-4580 27200 TARRANT APPAREL GROUP COM 876289109 90,356 72,285 X X 28-5284 72285 TASER INTL INC COM 87651B104 1,059 100 X 28-5284 100 1,059 100 X X 28-5284 100 TASTY BAKING CO COM 876553306 4,000 500 X 28-5284 500 6,000 750 X X 28-5284 750 TATA MTRS LTD SPONSORED ADR 876568502 31,260 1,500 X 28-5284 1500 67,272 3,228 X X 28-4580 3228 TAUBMAN CTRS INC COM 876664103 5,000 120 X 28-5284 120 TEAM INC COM 878155100 605,332 18,200 X X 28-5284 18200 TECH DATA CORP COM 878237106 17,126 464 X 28-5284 464 TECHNE CORP COM 878377100 60,140 1,000 X 28-5284 1000 180,420 3,000 X X 28-5284 3000 TECHNITROL INC COM 878555101 47,960 2,000 X X 28-5284 2000 TECHNOLOGY RESH CORP COM NEW 878727304 3,635 500 X 28-5284 500 TECUMSEH PRODS CO CL B 878895101 39,609 1,850 X 28-5284 1850 TECUMSEH PRODS CO CL A 878895200 98,120 4,000 X 28-5284 4000 TEGAL CORP COM 879008100 491 945 X 28-5284 945 TEKELEC COM 879101103 1,798 130 X 28-5284 130 TEKTRONIX INC COM 879131100 6,856 192 X 28-5284 192 COLUMN TOTAL 188,856,380 FILE NO. 28-1235 PAGE 168 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: ITEM 2: CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------------- --------- --------- --------- ------- ------ -------- ------- --------- ------- TELECOM CORP NEW ZEALAND LTD SPONSORED ADR 879278208 97,669 3,575 X 28-5284 300 3275 210,091 7,690 X X 28-5284 7690 109,280 4,000 X X 28-1500 4000 54,640 2,000 X X 28-4580 2000 TELECOMUNICACOES DE SAO PAUL SPON ADR PFD 87929A102 12,350 500 X 28-5284 500 4,940 200 X X 28-5284 200 TELEFLEX INC COM 879369106 2,449,961 34,203 X 28-5284 27823 6380 580,203 8,100 X X 28-5284 8100 257,868 3,600 X X 28-1500 3600 42,978 600 X X 28-4580 600 TELEFONICA S A SPONSORED ADR 879382208 336,446 7,163 X 28-5284 7163 102,395 2,180 X X 28-5284 2180 TELEFONOS DE MEXICO S A SPON ADR A SHS 879403707 74,393 3,336 X 28-5284 3336 TELEFONOS DE MEXICO S A SPON ADR ORD L 879403780 192,609 8,568 X 28-5284 8568 62,944 2,800 X X 28-5284 2800 33,720 1,500 X X 28-1500 1500 17,984 800 X X 28-4580 800 TELEPHONE & DATA SYS INC COM 879433100 7,888 200 X 28-5284 200 3,944 100 X X 28-5284 100 TELEPHONE & DATA SYS INC SPL COM 879433860 7,550 200 X 28-5284 200 3,775 100 X X 28-5284 100 TELEMIG CELULAR PART S A SPON ADR PFD 87944E105 4,766 100 X 28-5284 100 TELKONET INC COM 879604106 42,500 10,000 X 28-5284 10000 63,750 15,000 X X 28-5284 15000 TELLABS INC COM 879664100 14,135 889 X 28-5284 289 600 47,700 3,000 X X 28-5284 3000 4,770 300 X X 28-1500 300 TELSTRA CORP LTD SPON ADR FINAL 87969N204 45,594 3,400 X X 28-5284 3400 TELULAR CORP COM NEW 87970T208 324 100 X 28-5284 100 COLUMN TOTAL 4,887,167 FILE NO. 28-1235 PAGE 169 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: ITEM 2: CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------------- --------- ---------- --------- ------- ------ -------- ------- --------- ------- TEMPLE INLAND INC COM 879868107 52,569 1,180 X 28-5284 1180 142,204 3,192 X X 28-5284 3192 TEMPLETON DRAGON FD INC COM 88018T101 17,304 800 X 28-5284 800 157,899 7,300 X X 28-5284 7300 114,639 5,300 X 28-1500 5300 TEMPLETON EMERGING MKTS FD I COM 880191101 106,265 5,300 X X 28-5284 5300 TEMPLETON EMERG MKTS INCOME COM 880192109 71,476 5,558 X 28-5284 5558 102,378 7,961 X X 28-5284 4500 3461 TEMPLETON GLOBAL INCOME FD COM 880198106 190,849 22,166 X 28-5284 22166 60,270 7,000 X X 28-5284 7000 TENARIS S A SPONSORED ADR 88031M109 27,101 150 X X 28-5284 150 TENNANT CO COM 880345103 20,928 400 X X 28-1500 400 TENNECO INC COM 880349105 499 23 X X 28-5284 23 TERADYNE INC COM 880770102 206,283 13,300 X 28-5284 13300 49,074 3,164 X X 28-5284 3164 99,264 6,400 X X 28-4580 6400 TEREX CORP NEW COM 880779103 75,278 950 X 28-5284 950 31,696 400 X X 28-5284 400 TESORO CORP COM 881609101 10,251 150 X X 28-5284 50 100 3,964 58 X X 28-4580 14 44 TETRA TECHNOLOGIES INC DEL COM 88162F105 5,692 121 X X 28-4580 27 94 TETRA TECH INC NEW COM 88162G103 12,752 668 X 28-5284 668 TEVA PHARMACEUTICAL INDS LTD ADR 881624209 25,474,113 618,604 X 28-5284 600213 18391 12,947,857 314,421 X X 28-5284 298871 6070 9480 37,474 910 X 28-1500 910 77,913 1,892 X X 28-1500 1892 119,010 2,890 X 28-4580 2890 123,334 2,995 X X 28-4580 2995 COLUMN TOTAL 40,338,336 FILE NO. 28-1235 PAGE 170 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: ITEM 2: CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------------- --------- ---------- --------- ------- ------ -------- ------- --------- ------- TESSERA TECHNOLOGIES INC COM 88164L100 32,080 1,000 X 28-5284 1000 385 12 X X 28-5284 12 TEXAS INDS INC COM 882491103 550,459 9,100 X X 28-5284 7000 2100 TEXAS INSTRS INC COM 882508104 49,310,436 1,518,646 X 28-5284 1471251 47395 35,377,948 1,089,558 X X 28-5284 1062915 5250 21393 228,589 7,040 X 28-1500 1350 5690 35,717 1,100 X 28-11439 1100 627,255 19,318 X 28-4580 18728 590 130,562 4,021 X X 28-4580 4021 TEXAS PAC LD TR SUB CTF PROP I 882610108 242,550 1,650 X 28-5284 1650 14,700 100 X X 28-5284 100 TEXAS ROADHOUSE INC CL A 882681109 2,007,152 117,446 X 28-5284 117446 75,008 4,389 X 28-1500 4389 TEXTRON INC COM 883203101 622,631 6,667 X 28-5284 5067 1600 1,566,150 16,770 X X 28-5284 16770 THERMO ELECTRON CORP COM 883556102 69,358 1,870 X 28-5284 470 1400 191,014 5,150 X X 28-5284 3450 1700 THOMAS & BETTS CORP COM 884315102 573,401 11,160 X 28-5284 9560 1600 220,883 4,299 X X 28-5284 4299 THOMSON CORP COM 884903105 14,944 400 X X 28-5284 400 THOR INDS INC COM 885160101 2,668 50 X 28-5284 50 100,050 1,875 X X 28-5284 1875 THORATEC CORP COM NEW 885175307 5,781 300 X 28-5284 300 THORNBURG MTG INC COM 885218107 332,838 12,300 X 28-5284 12300 733,326 27,100 X X 28-5284 22100 5000 91,057 3,365 X X 28-1500 3365 27,060 1,000 X 28-4580 1000 9,850 364 X X 28-4580 364 3COM CORP COM 885535104 92,165 18,001 X 28-5284 18001 3,072 600 X X 28-5284 600 12,754 2,491 X 28-1500 2491 COLUMN TOTAL 93,301,843 FILE NO. 28-1235 PAGE 171 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: ITEM 2: CUSIP 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 121,439,458 1,604,432 X 28-5284 1547605 56827 92,781,105 1,225,804 X X 28-5284 1178481 6750 40573 1,187,425 15,688 X 28-1500 15688 3,569,389 47,158 X 28-4580 47158 5,871,425 77,572 X X 28-4580 74440 3132 TIBCO SOFTWARE INC COM 88632Q103 32,888 3,934 X 28-1500 3934 TIDEWATER INC COM 886423102 237,489 4,300 X 28-5284 4300 8,505 154 X X 28-5284 154 TIFFANY & CO NEW COM 886547108 39,792 1,060 X 28-5284 1010 50 165,889 4,419 X X 28-5284 2519 1900 5,556 148 X X 28-1500 148 TIM PARTICIPACOES S A SPONS ADR PFD 88706P106 726,529 19,620 X X 28-5284 19620 TIMBERLAND CO CL A 887100105 6,846 200 X 28-5284 200 TIME WARNER INC COM 887317105 7,001,145 416,983 X 28-5284 337044 79939 3,841,418 228,792 X X 28-5284 192036 2141 34615 107,590 6,408 X 28-1500 6408 495,238 29,496 X 28-11439 29496 69,225 4,123 X 28-4580 4123 31,901 1,900 X X 28-4580 1900 TIMKEN CO COM 887389104 28,882 895 X X 28-5284 868 27 TITANIUM METALS CORP COM NEW 888339207 145,650 3,000 X 28-5284 3000 60,688 1,250 X X 28-5284 1250 285,231 5,875 X X 28-1500 5875 TODCO CL A 88889T107 433,510 11,000 X 28-5284 11000 TOLL BROTHERS INC COM 889478103 42,249 1,220 X 28-5284 1220 37,400 1,080 X X 28-5284 100 980 TOLLGRADE COMMUNICATIONS INC COM 889542106 111,600 7,500 X 28-5284 7500 TOM ONLINE INC ADR REG S 889728200 1,044,566 41,060 X X 28-5284 41060 TOMPKINSTRUSTCO INC COM 890110109 11,652 242 X 28-5284 242 COLUMN TOTAL 239,820,241 FILE NO. 28-1235 PAGE 172 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: ITEM 2: CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------------- --------- --------- --------- ------- ------ -------- ------- --------- ------- TOO INC COM 890333107 1,443 42 X 28-5284 42 TOOTSIE ROLL INDS INC COM 890516107 1,836,546 62,745 X 28-5284 55630 7115 82,190 2,808 X X 28-5284 2808 TOPPS INC COM 890786106 23,679 2,700 X X 28-5284 2700 TORCHMARK CORP COM 891027104 371,150 6,500 X 28-5284 6500 228,971 4,010 X X 28-5284 4000 10 TOREADOR RES CORP COM 891050106 164,105 5,275 X X 28-5284 5275 TORO CO COM 891092108 219,650 4,600 X 28-5284 4600 382,000 8,000 X X 28-5284 8000 TORONTO DOMINION BK ONT COM NEW 891160509 22,280 400 X 28-5284 400 254,382 4,567 X X 28-5284 4567 TORTOISE ENERGY INFRSTRCTR C COM 89147L100 27,910 1,000 X X 28-5284 1000 TORTOISE ENERGY CAP CORP COM 89147U100 22,730 1,000 X 28-5284 1000 TOTAL S A SPONSORED ADR 89151E109 579,875 4,402 X 28-5284 4402 661,153 5,019 X X 28-5284 3528 266 1225 5,664 43 X X 28-4580 14 29 TOWN & CTRY TR SH BEN INT 892081100 121,770 3,000 X 28-5284 3000 TOYOTA MOTOR CORP SP ADR REP2COM 892331307 478,289 4,392 X 28-5284 4192 200 154,094 1,415 X X 28-5284 1415 5,445 50 X 28-1500 50 TRACTOR SUPPLY CO COM 892356106 6,634 100 X 28-5284 100 3,317 50 X X 28-5284 50 108,466 1,635 X X 28-1500 1635 TRANSACTION SYS ARCHITECTS COM 893416107 1,094,223 35,060 X X 28-5284 35060 TRANSAMERICA INCOME SHS INC COM 893506105 8,492 400 X X 28-5284 400 TRANSATLANTIC HLDGS INC COM 893521104 135,136 2,312 X 28-5284 2312 3,273 56 X X 28-5284 56 COLUMN TOTAL 7,002,867 FILE NO. 28-1235 PAGE 173 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: ITEM 2: CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------------- --------- --------- --------- ------- ------ -------- ------- --------- ------- TRANSCANADA CORP COM 89353D107 11,572 400 X 28-5284 400 162,008 5,600 X X 28-5284 1500 4100 TRANSMERIDIAN EXPL INC COM 89376N108 135,000 25,000 X X 28-1500 25000 TRANSMETA CORP DEL COM 89376R109 2,020 1,000 X 28-5284 1000 TRAVELERS PPTY CAS CORP NEW NT CV JR 2032 89420G307 25,669 1,070 X 28-5284 1070 9,740 406 X X 28-5284 406 TREEHOUSE FOODS INC COM 89469A104 37,701 1,420 X 28-5284 1420 TRI CONTL CORP COM 895436103 276,600 13,666 X 28-5284 13666 221,385 10,938 X X 28-5284 8904 2034 TRIAD HOSPITALS INC COM 89579K109 58,367 1,393 X 28-5284 1362 31 545 13 X X 28-5284 13 TRIDENT MICROSYSTEMS INC COM 895919108 1,265,563 43,550 X X 28-5284 43550 TRIAD GTY INC COM 895925105 12,147 259 X X 28-5284 259 TRIBUNE CO NEW COM 896047107 580,913 21,178 X 28-5284 21178 416,799 15,195 X X 28-5284 13695 1500 TRINITY BIOTECH PLC SPON ADR NEW 896438306 6,833 750 X X 28-5284 750 TRINITY INDS INC COM 896522109 31,818 585 X 28-5284 585 271,950 5,000 X X 28-5284 5000 TRIZEC PROPERTIES INC COM 89687P107 9,006 350 X 28-5284 350 TRIPATH IMAGING INC COM 896942109 6,980 1,000 X 28-5284 1000 146,713 21,019 X X 28-5284 21019 TRUSTCO BK CORP N Y COM 898349105 37,970 3,120 X X 28-5284 3120 TRUSTMARK CORP COM 898402102 31,640 1,000 X 28-5284 1000 109,158 3,450 X X 28-1500 3450 TRUSTREET PPTYS INC COM 898404108 16,785 1,105 X 28-5284 1105 2,279 150 X X 28-5284 150 COLUMN TOTAL 3,887,161 FILE NO. 28-1235 PAGE 174 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 2: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: TITLE OF CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------- --------- ----------- --------- ------- ------ -------- ------- --------- ------- TUESDAY MORNING CORP COM NEW 899035505 6,927 300 X 28-5284 300 TUPPERWARE BRANDS CORP COM 899896104 44,474 2,160 X 28-5284 2160 55,346 2,688 X X 28-5284 2688 II VI INC COM 902104108 57,888 3,200 X 28-5284 3200 726,060 40,136 X X 28-5284 40136 TYCO INTL LTD NEW COM 902124106 27,078,966 1,007,402 X 28-5284 905552 101850 10,582,817 393,706 X X 28-5284 296308 74348 23050 298,476 11,104 X 28-1500 11104 397,824 14,800 X X 28-1500 14800 585,984 21,800 X 28-11439 21800 8,225 306 X 28-4580 306 159,130 5,920 X X 28-4580 5920 TYSON FOODS INC CL A 902494103 48,447 3,526 X 28-5284 3526 2,281 166 X X 28-5284 166 UCBH HOLDINGS INC COM 90262T308 7,568 400 X X 28-5284 400 UGI CORP NEW COM 902681105 359,286 17,052 X 28-5284 17052 336,741 15,982 X X 28-5284 15982 UIL HLDG CORP COM 902748102 60,203 1,150 X X 28-5284 1150 UST INC COM 902911106 208,000 5,000 X 28-5284 5000 3,617,286 86,954 X X 28-5284 86954 41,600 1,000 X 28-4580 1000 USA TRUCK INC COM 902925106 66,917 2,718 X X 28-1500 2718 US BANCORP DEL COM NEW 902973304 98,584,876 3,232,291 X 28-5284 3144292 87999 16,836,000 552,000 X X 28-5284 455925 11413 84662 12,531,322 410,863 X 28-1500 339844 71019 49,380 1,619 X 28-4580 1619 URS CORP NEW COM 903236107 88,550 2,200 X 28-5284 2200 28,980 720 X X 28-5284 700 20 U S G CORP COM NEW 903293405 67,137 707 X 28-5284 707 270,636 2,850 X X 28-5284 2850 COLUMN TOTAL 173,207,327 FILE NO. 28-1235 PAGE 175 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: ITEM 2: CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------------- --------- ----------- --------- ------- ------ -------- ------- --------- ------- USEC INC COM 90333E108 12,050 1,000 X 28-5284 1000 12,050 1,000 X X 28-5284 1000 U S PHYSICAL THERAPY INC COM 90337L108 50,081 2,927 X 28-1500 2727 200 U S AIRWAYS GROUP INC COM 90341W108 800,000 20,000 X X 28-5284 20000 ULTRA PETROLEUM CORP COM 903914109 131,474 2,110 X 28-5284 2110 561 9 X X 28-5284 9 567,021 9,100 X 28-11439 9100 4,922 79 X X 28-4580 11 68 UNDER ARMOUR INC CL A 904311107 9,720 300 X X 28-5284 300 686,880 21,200 X 28-11439 21200 UNILEVER PLC SPON ADR NEW 904767704 3,286 80 X 28-5284 80 104,359 2,541 X X 28-5284 2341 200 29,324 714 X X 28-4580 714 UNILEVER N V N Y SHS NEW 904784709 12,203,763 176,304 X 28-5284 166092 10212 9,988,031 144,294 X X 28-5284 139491 4803 56,899 822 X 28-4580 722 100 100,231 1,448 X X 28-4580 1448 UNION BANKSHARES INC COM 905400107 85,720 4,000 X X 28-5284 4000 UNION PAC CORP COM 907818108 23,431,410 251,006 X 28-5284 241709 9297 15,070,237 161,438 X X 28-5284 154988 80 6370 7,188 77 X 28-1500 77 25,205 270 X 28-4580 270 386,469 4,140 X X 28-4580 4140 UNIONBANCAL CORP COM 908906100 7,219,464 102,900 X 28-1500 102900 UNISYS CORP COM 909214108 10,955 1,590 X 28-5284 1590 10,859 1,576 X X 28-5284 1576 UNIT CORP COM 909218109 1,338,000 24,000 X X 28-5284 24000 UNITED AMER INDEMNITY LTD CL A 90933T109 56,965,330 2,487,569 X X 28-5284 2487569 UNITED BANKSHARES INC WEST V COM 909907107 992,839 25,943 X 28-5284 25943 119,402 3,120 X X 28-5284 3120 COLUMN TOTAL 130,423,730 FILE NO. 28-1235 PAGE 176 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 2: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: TITLE OF CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------- --------- ----------- --------- ------- ------ -------- ------- --------- ------- UNITED BANCORP INC OHIO COM 909911109 45,188 4,108 X 28-5284 4108 UNITED DOMINION REALTY TR IN COM 910197102 151,747 5,317 X 28-5284 5317 323,358 11,330 X X 28-5284 11330 UNITED FIRE & CAS CO COM 910331107 10,528 320 X X 28-5284 300 20 UNITED NAT FOODS INC COM 911163103 2,623 75 X 28-5284 75 279,760 8,000 X X 28-5284 8000 34,970 1,000 X X 28-1500 1000 UNITED PARCEL SERVICE INC CL B 911312106 84,536,604 1,064,961 X 28-5284 978915 86046 29,241,449 368,373 X X 28-5284 365638 2000 735 47,628 600 X 28-1500 600 47,628 600 X 28-4580 600 52,073 656 X X 28-4580 599 57 UNITED SEC BANCSHARES INC SHS 911459105 3,252,172 121,395 X 28-1500 121395 UNITED STATES STL CORP NEW COM 912909108 4,711,013 77,637 X 28-5284 76251 1386 54,612 900 X X 28-5284 900 163,836 2,700 X X 28-1500 2700 215,414 3,550 X 28-11439 3550 UNITED TECHNOLOGIES CORP COM 913017109 106,110,317 1,830,435 X 28-5284 1798515 31920 79,653,331 1,374,044 X X 28-5284 1344579 7308 22157 84,984 1,466 X 28-1500 1466 1,920,952 33,137 X 28-4580 32637 500 2,077,819 35,843 X X 28-4580 35701 142 UNITED THERAPEUTICS CORP DEL COM 91307C102 75,228 1,135 X 28-5284 1135 UNITEDHEALTH GROUP INC COM 91324P102 21,795,567 390,182 X 28-5284 344770 45412 7,739,515 138,552 X X 28-5284 123692 1460 13400 1,992,526 35,670 X 28-1500 35670 1,066,926 19,100 X 28-4580 19100 5,586 100 X X 28-4580 100 UNITRIN INC COM 913275103 352,918 7,588 X 28-5284 7588 UNIVERSAL AMERN FINL CORP COM 913377107 4,620 300 X X 28-5284 300 UNIVERSAL CORP VA COM 913456109 36,770 1,000 X X 28-5284 1000 COLUMN TOTAL 346,087,662 FILE NO. 28-1235 PAGE 177 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 5: DISCRETION ITEM 8: ITEM 2: ITEM 3: ITEM 4: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: TITLE OF CUSIP MARKET PRINCIPAL -------------- MANAGERS -------------------------- NAME OF ISSUER CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- ---------- --------- ------------- ---------- ------- ------ -------- -------- --------- ------- UNIVERSAL DISPLAY CORP COM 91347P105 28,760 2,000 X 28-5284 2000 6,989 486 X 28-1500 486 UNIVERSAL FST PRODS INC COM 913543104 4,762 75 X X 28-5284 75 UNIVERSAL HEALTH RLTY INCM T SH BEN INT 91359E105 166,212 4,550 X X 28-5284 3200 1350 UNIVERSAL STAINLESS & ALLOY COM 913837100 56,540 2,200 X X 28-5284 2200 UNIVERSAL HLTH SVCS INC CL B 913903100 95,180 1,874 X X 28-5284 674 1200 UNIVISION COMMUNICATIONS INC CL A 914906102 34,470 1,000 X X 28-5284 1000 UNIVEST CORP PA COM 915271100 143,213 5,625 X X 28-5284 5625 UNUMPROVIDENT CORP COM 91529Y106 135,168 6,600 X 28-5284 3800 2800 326,308 15,933 X X 28-5284 15933 URBAN OUTFITTERS INC COM 917047102 6,135 250 X 28-5284 250 100,614 4,100 X X 28-5284 4100 URSTADT BIDDLE PPTYS INS CL A 917286205 13,500 750 X 28-5284 750 9,000 500 X X 28-5284 500 UTSTARCOM INC COM 918076100 4,529 720 X 28-5284 720 39,023 6,204 X 28-11439 6204 VA SOFTWARE CORP COM 91819B105 1,437 300 X X 28-1500 300 VCA ANTECH INC COM 918194101 2,848 100 X X 28-5284 100 V F CORP COM 918204108 745,390 13,100 X 28-5284 13100 1,218,046,806 21,406,798 X X 28-5284 21406798 46,089 810 X X 28-1500 810 27,636,615 485,705 X X 28-4580 485705 VAIL BANKS INC COM 918779109 1,121,256 69,600 X 28-1500 69600 VAIL RESORTS INC COM 91879Q109 4,128 108 X 28-5284 108 VALHI INC NEW COM 918905100 6,531 369 X 28-5284 369 460 26 X X 28-5284 26 COLUMN TOTAL 1,248,781,963 FILE NO. 28-1235 PAGE 178 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: ITEM 2: CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------------- --------- --------- --------- ------- ------ -------- ------- --------- ------- VALENCE TECHNOLOGY INC COM 918914102 4,980 2,000 X X 28-5284 2000 VALERO L P COM UT LTD PRT 91913W104 158,079 3,121 X 28-5284 3121 100,034 1,975 X X 28-5284 1975 2,887 57 X X 28-4580 13 44 VALERO ENERGY CORP NEW COM 91913Y100 368,065 6,157 X 28-5284 6157 1,296,329 21,685 X X 28-5284 21185 500 963,235 16,113 X X 28-1500 16113 672,525 11,250 X 28-11439 11250 3,527 59 X X 28-4580 12 47 VALLEY NATL BANCORP COM 919794107 123,796 4,832 X 28-5284 1052 3780 250,589 9,781 X X 28-5284 8640 1141 VALOR COMMUNICATIONS GROUP I COM 920255106 13,160 1,000 X X 28-5284 1000 VALSPAR CORP COM 920355104 351,162 12,600 X 28-5284 12600 362,728 13,015 X X 28-5284 13000 15 VALUECLICK INC COM 92046N102 23,739 1,403 X X 28-5284 1403 VAN KAMPEN MUN TR SH BEN INT 920919107 96,367 6,646 X 28-5284 6646 14,500 1,000 X X 28-1500 1000 4,350 300 X X 28-4580 300 VAN KAMPEN OHIO QUALITY MUN COM 920923109 39,425 2,500 X 28-5284 2500 VAN KAMPEN TR INSD MUNS COM 920928108 50,273 3,365 X 28-5284 3365 VAN KAMPEN TR INVT GRADE MUN COM 920929106 123,014 8,323 X 28-5284 8323 19,702 1,333 X X 28-5284 1333 VAN KAMPEN TR INVT GRADE N J COM 920933108 5,606 328 X X 28-5284 328 VAN KAMPEN MUN OPPORTUNITY T COM 920935103 89,582 5,855 X 28-5284 5855 6,120 400 X X 28-5284 400 VAN KAMPEN BD FD COM 920955101 3,382 200 X X 28-5284 200 VAN KAMPEN ADVANTAGE MUN II SH BEN INT 92112K107 154,706 11,632 X 28-5284 11632 VAN KAMPEN SELECT SECTOR MUN COM 92112M103 109,639 8,674 X 28-5284 8674 COLUMN TOTAL 5,411,501 FILE NO. 28-1235 PAGE 179 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: ITEM 2: CUSIP 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 MASS VALUE MUN IN COM SH BEN INT 92112R102 22,650 1,500 X X 28-5284 1500 VAN KAMPEN PA VALUE MUN INCO COM 92112T108 642,883 46,552 X 28-5284 46552 652,205 47,227 X X 28-5284 47227 VANGUARD SECTOR INDEX FDS CNS STP VIPERS 92204A207 5,745 100 X 28-5284 100 VANGUARD SECTOR INDEX FDS HTH CARE VIPER 92204A504 35,887 650 X 28-5284 650 11,042 200 X X 28-5284 200 VANGUARD SECTOR INDEX FDS INDSTRS VIPERS 92204A603 312,827 4,960 X 28-5284 4960 37,842 600 X X 28-5284 600 VANGUARD SECTOR INDEX FDS INF TECH VIPER 92204A702 449,087 8,816 X 28-5284 8816 435,282 8,545 X X 28-5284 8545 VANGUARD SECTOR INDEX FDS MATLS VIPERS 92204A801 465,903 7,072 X 28-5284 6936 136 21,806 331 X X 28-5284 331 VANGUARD SECTOR INDEX FDS UTILS VIPERS 92204A876 32,265 500 X X 28-4580 500 VANGUARD SECTOR INDEX FDS TELCOMM VIPERS 92204A884 14,081 225 X 28-5284 225 VANGUARD INTL EQUITY INDEX F EMR MKT VIPERS 922042858 1,043,849 15,515 X 28-5284 15415 100 1,295,207 19,251 X X 28-5284 18948 303 22,539 335 X X 28-1500 335 VANGUARD INTL EQUITY INDEX F PACIFIC VIPERS 922042866 64,570 1,000 X 28-5284 1000 38,225 592 X X 28-5284 592 VARIAN MED SYS INC COM 92220P105 19,308,257 343,808 X 28-5284 339108 4700 4,717,440 84,000 X X 28-5284 78300 4000 1700 45,209 805 X 28-1500 805 88,340 1,573 X X 28-1500 1573 78,624 1,400 X X 28-4580 1400 VARIAN INC COM 922206107 8,236 200 X X 28-5284 200 VARIAN SEMICONDUCTOR EQUIPMN COM 922207105 8,424 300 X X 28-5284 300 VASCO DATA SEC INTL INC COM 92230Y104 1,770,561 216,450 X 28-5284 216450 VASOGEN INC COM 92232F103 29,540 14,000 X 28-5284 14000 COLUMN TOTAL 31,658,526 FILE NO. 28-1235 PAGE 180 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: ITEM 2: CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------------- --------- ---------- --------- ------- ------ -------- ------- --------- ------- VASOMEDICAL INC COM 922321104 240 1,000 X 28-5284 1000 VECTREN CORP COM 92240G101 269,445 10,214 X 28-5284 10214 307,538 11,658 X X 28-5284 11658 171,470 6,500 X X 28-1500 6500 VECTOR GROUP LTD COM 92240M108 13,475 707 X 28-5284 707 464,892 24,391 X X 28-5284 24391 VEECO INSTRS INC DEL COM 922417100 47,541 2,036 X 28-1500 2036 VENTAS INC COM 92276F100 435,388 13,122 X 28-5284 8771 4351 225,259 6,789 X X 28-5284 6789 VENTIV HEALTH INC COM 922793104 1,055,067 31,760 X X 28-5284 31760 VANGUARD INDEX FDS SML CP G VIPER 922908595 24,855 375 X 28-5284 375 VANGUARD INDEX FDS SM CP V VIPERS 922908611 30,380 450 X 28-5284 75 375 VANGUARD INDEX FDS MID CAP VIPERS 922908629 371,185 5,327 X 28-5284 5327 75,812 1,088 X X 28-5284 1088 VANGUARD INDEX FDS LRG CAP VIPERS 922908637 75,075 1,300 X 28-5284 1300 25,526 442 X X 28-5284 442 VANGUARD INDEX FDS EXT MKT VIPERS 922908652 65,426 660 X X 28-5284 660 VANGUARD INDEX FDS GROWTH VIPERS 922908736 617,904 11,200 X 28-5284 11050 150 VANGUARD INDEX FDS VALUE VIPERS 922908744 1,656,264 27,609 X 28-5284 27609 VANGUARD INDEX FDS SMLL CP VIPERS 922908751 106,508 1,593 X 28-5284 1593 52,619 787 X X 28-5284 787 VANGUARD INDEX FDS STK MRK VIPERS 922908769 12,022,873 92,719 X 28-5284 92669 50 1,627,618 12,552 X X 28-5284 12367 185 VERISIGN INC COM 9.23E+106 93,561 3,900 X 28-5284 2400 1500 187,122 7,800 X X 28-5284 5800 2000 VERITAS DGC INC COM 92343P107 10,213 225 X X 28-5284 225 COLUMN TOTAL 20,033,256 FILE NO. 28-1235 PAGE 181 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: ITEM 2: CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------------- --------- ----------- --------- ------- ------ -------- ------- --------- ------- VERIZON COMMUNICATIONS COM 92343V104 68,383,079 2,007,724 X 28-5284 1990229 17495 93,015,101 2,730,919 X X 28-5284 2332274 18277 380368 280,995 8,250 X 28-1500 8250 1,183,210 34,739 X 28-4580 34739 1,416,555 41,590 X X 28-4580 40631 959 VERTEX PHARMACEUTICALS INC COM 92532F100 3,659 100 X 28-5284 100 VIAD CORP COM NEW 92552R406 20,122 587 X 28-5284 587 11,998 350 X X 28-5284 350 VIASAT INC COM 92552V100 83,028 2,898 X 28-1500 2898 VIACOM INC NEW CL A 92553P102 112,792 2,910 X 28-5284 2235 675 58,799 1,517 X X 28-5284 1442 75 VIACOM INC NEW CL B 92553P201 5,357,155 138,071 X 28-5284 123496 14575 2,888,272 74,440 X X 28-5284 73910 530 20,525 529 X 28-1500 529 388 10 X 28-11439 10 17,848 460 X 28-4580 460 137,003 3,531 X X 28-4580 3531 VIISAGE TECHNOLOGY INC COM NEW 92675K205 35,020 2,000 X 28-5284 2000 3,484 199 X 28-1500 99 100 VILLAGE BK & TR FINANCIAL CO COM 92705T101 453,440 32,000 X X 28-5284 32000 VILLAGE BK & TR FINANCIAL CO *W EXP 09/27/2 92705T119 45,000 12,000 X X 28-5284 12000 VIRAGEN INC COM NEW 927638403 90 150 X 28-5284 150 VIRGINIA FINL GROUP INC COM 927810101 24,012 600 X X 28-5284 600 VIROPHARMA INC COM 928241108 2,858 225 X 28-5284 225 339,916 26,765 X X 28-5284 26765 VISHAY INTERTECHNOLOGY INC COM 928298108 87,576 6,150 X 28-5284 6150 116,668 8,193 X X 28-5284 8193 COLUMN TOTAL 174,098,593 FILE NO. 28-1235 PAGE 182 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: ITEM 2: CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------------- --------- ---------- --------- ------- ------ -------- ------- --------- ------- VISTEON CORP COM 92839U107 5,644 1,227 X 28-5284 1227 3,560 774 X X 28-5284 774 202,860 44,100 X 28-11439 44100 920 200 X 28-4580 200 VITESSE SEMICONDUCTOR CORP COM 928497106 38,807 10,840 X 28-5284 10840 154,656 43,200 X X 28-5284 3200 40000 VIVENDI UNIVERSAL SPON ADR NEW 92851S204 30,096 880 X 28-5284 880 59,371 1,736 X X 28-5284 1736 1,026 30 X X 28-1500 30 VODAFONE GROUP PLC NEW SPONSORED ADR 92857W100 4,085,156 195,462 X 28-5284 116412 79050 3,434,915 164,350 X X 28-5284 142677 800 20873 82,764 3,960 X 28-1500 3960 34,694 1,660 X 28-4580 1660 70,538 3,375 X X 28-4580 3375 VOLVO AKTIEBOLAGET ADR B 928856400 5,828 125 X 28-5284 125 VORNADO RLTY TR SH BEN INT 929042109 124,800 1,300 X 28-5284 1300 329,088 3,428 X X 28-5284 3428 38,400 400 X X 28-1500 400 VULCAN MATLS CO COM 929160109 4,097,938 47,293 X 28-5284 15290 32003 462,191 5,334 X X 28-5284 4684 650 WCI CMNTYS INC COM 92923C104 5,564 200 X 28-5284 200 WGL HLDGS INC COM 92924F106 32,184 1,058 X 28-5284 1058 585,159 19,236 X X 28-5284 14036 5200 W P CAREY & CO LLC COM 92930Y107 1,133,249 42,317 X 28-5284 42317 736,771 27,512 X X 28-5284 27512 WPS RESOURCES CORP COM 92931B106 163,017 3,312 X 28-5284 3312 626,325 12,725 X X 28-5284 12725 246,100 5,000 X X 28-4580 5000 WSFS FINL CORP COM 929328102 94,245 1,500 X 28-5284 900 600 31,415 500 X X 28-5284 500 16,273 259 X 28-4580 259 COLUMN TOTAL 16,933,554 FILE NO. 28-1235 PAGE 183 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 1: ITEM 2: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) NAME OF TITLE OF CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- ISSUER CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------- -------- --------- ----------- --------- ------- ------ -------- ------- --------- ------- WVS FINL CORP COM 929358109 35,500 2,000 X 28-5284 2000 WABASH NATL CORP COM 929566107 7,900 400 X 28-5284 400 WABTEC CORP COM 929740108 3,052,990 93,650 X 28-5284 15000 78650 6,104,187 187,245 X X 28-5284 33300 153945 12,042,505 369,402 X X 28-4580 369402 WACHOVIA CORP 2ND NEW COM 929903102 61,521,265 1,097,614 X 28-5284 1033415 64199 58,724,930 1,047,724 X X 28-5284 1013586 7385 26753 13,521,614 241,242 X 28-1500 238942 2300 1,918,199 34,223 X 28-4580 34113 110 1,585,655 28,290 X X 28-4580 28290 WADDELL & REED FINL INC CL A 930059100 27,720 1,200 X 28-5284 1200 WAL MART STORES INC COM 931142103 98,125,086 2,077,161 X 28-5284 1976749 100412 71,641,964 1,516,553 X X 28-5284 1466716 12000 37837 550,252 11,648 X 28-1500 11648 465,314 9,850 X 28-11439 9850 1,340,388 28,374 X 28-4580 27828 546 817,866 17,313 X X 28-4580 16113 1200 WALGREEN CO COM 931422109 63,399,504 1,469,963 X 28-5284 1276682 193281 33,164,770 768,949 X X 28-5284 755640 13309 936,740 21,719 X 28-1500 1229 20490 34,504 800 X 28-4580 800 646,950 15,000 X X 28-4580 15000 WALTER INDS INC COM 93317Q105 13,324 200 X X 28-5284 200 WARNACO GROUP INC COM NEW 934390402 38,664 1,611 X 28-5284 1611 WASHINGTON MUT INC COM 939322103 59,638,592 1,399,310 X 28-5284 1327862 71448 16,208,642 380,306 X X 28-5284 341781 6350 32175 346,756 8,136 X 28-1500 8136 311,126 7,300 X X 28-1500 7300 9,389,868 220,316 X 28-11439 220316 69,258 1,625 X 28-4580 1625 358,008 8,400 X X 28-4580 8400 COLUMN TOTAL 516,040,041 FILE NO. 28-1235 PAGE 184 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 2: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: TITLE OF CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- ---------- --------- ---------- --------- ------- ------ -------- ------- --------- ------- WASHINGTON POST CO CL B 939640108 251,667 324 X 28-5284 324 629,168 810 X X 28-5284 650 160 1,554 2 X X 28-4580 2 WASHINGTON REAL ESTATE INVT SH BEN INT 939653101 101,696 2,800 X 28-5284 2800 245,596 6,762 X X 28-5284 6762 90,800 2,500 X X 28-4580 2500 WASHINGTON SVGBK FSB WALDRF COM 939696100 20,875 2,500 X X 28-5284 2500 WASHINGTON TR BANCORP COM 940610108 114,947 4,095 X X 28-5284 4095 WASTE CONNECTIONS INC COM 941053100 16,999 427 X 28-5284 52 375 WASTE MGMT INC DEL COM 94106L109 3,978,557 112,707 X 28-5284 42207 70500 1,357,956 38,469 X X 28-5284 22169 16300 26,404 748 X X 28-1500 748 WATERS CORP COM 941848103 35,779,117 829,180 X 28-5284 776800 52380 6,520,267 151,107 X X 28-5284 145575 3275 2257 827,574 19,179 X 28-1500 10299 8880 WATSCO INC COM 942622200 15,418 217 X X 28-5284 200 17 WATSON PHARMACEUTICALS INC COM 942683103 662,428 23,049 X 28-5284 23049 18,681 650 X X 28-5284 650 WATTS WATER TECHNOLOGIES INC CL A 942749102 36,340 1,000 X X 28-5284 1000 WAUSAU PAPER CORP COM 943315101 28,340 2,000 X X 28-5284 2000 WAVE SYSTEMS CORP CL A 943526103 4,200 7,000 X 28-5284 7000 WEBEX COMMUNICATIONS INC COM 94767L109 2,525 75 X 28-5284 75 WEBSENSE INC COM 947684106 1,986 72 X 28-5284 72 WEBSTER FINL CORP CONN COM 947890109 237,454 4,900 X 28-5284 4200 700 189,963 3,920 X X 28-5284 1320 2000 600 WEINGARTEN RLTY INVS SH BEN INT 948741103 61,125 1,500 X 28-5284 1500 229,219 5,625 X X 28-5284 4125 1500 COLUMN TOTAL 51,450,856 FILE NO. 28-1235 PAGE 185 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 2: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: TITLE OF CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------- --------- ----------- --------- ------- ------ -------- ------- --------- ------- WEIS MKTS INC COM 948849104 11,143 250 X 28-5284 250 WELLCARE HEALTH PLANS INC COM 94946T106 18,176 400 X X 28-5284 400 WELLPOINT INC COM 94973V107 36,116,527 466,441 X 28-5284 456041 10400 10,866,681 140,342 X X 28-5284 124643 3430 12269 115,448 1,491 X 28-1500 1491 900,975 11,636 X 28-4580 11251 385 120,946 1,562 X X 28-4580 1562 WELLS FARGO & CO NEW COM 949746101 168,664,958 2,640,754 X 28-5284 2632564 8190 90,044,437 1,409,808 X X 28-5284 1352395 25900 31513 288,373 4,515 X 28-1500 4515 985,003 15,422 X 28-4580 15422 946,490 14,819 X X 28-4580 14819 WENDYS INTL INC COM 950590109 281,877 4,542 X 28-5284 4542 WERNER ENTERPRISES INC COM 950755108 60,970 3,319 X 28-5284 3319 WESBANCO INC COM 950810101 2,411,338 73,494 X 28-5284 73494 619,617 18,885 X X 28-5284 18885 WESCO INTL INC COM 95082P105 40,806 600 X 28-5284 600 1,386,044 20,380 X X 28-5284 20380 WEST PHARMACEUTICAL SVSC INC COM 955306105 20,832 600 X 28-5284 600 23,262 670 X X 28-5284 670 WESTAIM CORP COM 956909105 4,710 750 X 28-5284 750 WESTAR ENERGY INC COM 95709T100 42,348 2,035 X 28-5284 2035 26,013 1,250 X X 28-5284 1250 WESTERN GAS RES INC COM 958259103 19,059 395 X 28-5284 395 267,498 5,544 X X 28-5284 5528 16 WESTERN REFNG INC COM 959319104 4,324 200 X X 28-5284 200 WEYERHAEUSER CO COM 962166104 610,657 8,431 X 28-5284 8431 1,442,081 19,910 X X 28-5284 19910 12,023 166 X 28-1500 166 COLUMN TOTAL 316,352,616 FILE NO. 28-1235 PAGE 186 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 1: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) NAME OF ITEM 2: CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- ISSUER TITLE OF CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE ------- -------------- --------- ---------- --------- ------- ------ -------- ------- --------- ------- WHIRLPOOL CORP COM 963320106 138,394 1,513 X 28-5284 1513 137,205 1,500 X X 28-5284 1100 400 WHITING PETE CORP NEW COM 966387102 73,782 1,800 X X 28-5284 1800 WHITNEY HLDG CORP COM 966612103 127,656 3,600 X 28-5284 2100 1500 330,735 9,327 X X 28-5284 8127 1200 WHOLE FOODS MKT INC COM 966837106 284,629 4,284 X 28-5284 4284 347,149 5,225 X X 28-5284 4825 400 13,288 200 X X 28-4580 200 WILD OATS MARKETS INC COM 96808B107 95,551 4,700 X 28-5284 4700 WILEY JOHN & SONS INC CL A 968223206 128,690 3,400 X 28-5284 1900 1500 109,765 2,900 X X 28-5284 800 2100 WILLIAMS COAL SEAM GAS RTY T TR UNIT 969450105 4,805 240 X X 28-5284 240 WILLIAMS COS INC DEL COM 969457100 514,665 24,061 X 28-5284 21061 3000 226,520 10,590 X X 28-5284 8550 2040 47,058 2,200 X X 28-1500 2200 WILLIAMS SONOMA INC COM 969904101 42,400 1,000 X 28-5284 1000 16,960 400 X X 28-5284 400 86,835 2,048 X X 28-1500 2048 WILLOW GROVE BANCORP INC NEW COM 97111W101 45,710 2,581 X 28-5284 2581 WILMINGTON TRUST CORP COM 971807102 3,320,740 76,603 X 28-5284 76603 1,236,559 28,525 X X 28-5284 26625 1900 1,495,532 34,499 X 28-4580 34499 4,438,043 102,377 X X 28-4580 100148 2229 WIND RIVER SYSTEMS INC COM 973149107 2,490 200 X 28-5284 200 50 4 X X 28-5284 4 WINDROSE MED PPTYS TR COM 973491103 22,620 1,500 X 28-5284 1500 17,432 1,156 X X 28-1500 1156 WINNEBAGO INDS INC COM 974637100 667 22 X X 28-5284 10 12 WIPRO LTD SPON ADR 1 SH 97651M109 7,435 500 X X 28-5284 500 COLUMN TOTAL 13,313,365 FILE NO. 28-1235 PAGE 187 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 2: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: TITLE OF CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------- --------- ----------- --------- ------- ------ -------- ------- --------- ------- WIRELESS FACILITIES INC COM 97653A103 12,788 3,181 X 28-1500 3181 WISCONSIN ENERGY CORP COM 976657106 235,941 5,900 X 28-5284 5900 198,230 4,957 X X 28-5284 4949 8 31,992 800 X X 28-4580 800 WORLD WRESTLING ENTMT INC CL A 98156Q108 1,352 80 X X 28-5284 80 WORTHINGTON INDS INC COM 981811102 316,948 15,800 X 28-5284 15800 94,282 4,700 X X 28-5284 4700 WRIGLEY WM JR CO COM 982526105 11,552,320 180,505 X 28-5284 179315 1190 7,557,120 118,080 X X 28-5284 114470 2000 1610 36,992 578 X X 28-1500 578 209,664 3,276 X 28-4580 3276 458,240 7,160 X X 28-4580 7160 WYETH COM 983024100 153,828,584 3,170,416 X 28-5284 3061169 109247 127,190,910 2,621,412 X X 28-5284 2377246 16435 227731 548,082 11,296 X 28-1500 5474 5822 3,846,132 79,269 X 28-4580 79046 223 4,746,518 97,826 X X 28-4580 94766 3060 WYNN RESORTS LTD COM 983134107 4,380 57 X X 28-5284 57 1,998 26 X X 28-4580 6 20 XM SATELLITE RADIO HLDGS INC CL A 983759101 82,510 3,705 X 28-5284 3705 64,338 2,889 X X 28-5284 2889 4,454 200 X X 28-1500 200 XTO ENERGY INC COM 98385X106 144,696 3,321 X 28-5284 3321 77,511 1,779 X X 28-5284 1779 69,058 1,585 X X 28-1500 1585 4,357 100 X X 28-4580 100 X-RITE INC COM 983857103 26,560 2,000 X X 28-5284 2000 XCEL ENERGY INC COM 98389B100 357,428 19,693 X 28-5284 19693 883,778 48,693 X X 28-5284 48493 200 94,453 5,204 X X 28-4580 5204 COLUMN TOTAL 312,681,616 FILE NO. 28-1235 PAGE 188 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 4: ITEM 5: DISCRETION ITEM 8: ITEM 2: ITEM 3: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: TITLE OF CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------- --------- ---------- --------- ------- ------ -------- ------- --------- ------- XILINX INC COM 983919101 516,838 20,300 X 28-5284 20300 26,733 1,050 X X 28-5284 1050 5,092 200 X X 28-1500 200 XENOPORT INC COM 98411C100 22,640 1,000 X 28-5284 1000 XEROX CORP COM 984121103 584,638 38,463 X 28-5284 7463 31000 310,232 20,410 X X 28-5284 13410 7000 6,308 415 X 28-4580 415 60,830 4,002 X X 28-4580 4002 YAK COMMUNICATIONS INC COM 984208207 784 200 X X 28-5284 200 YRC WORLDWIDE INC COM 984249102 94,503 2,483 X 28-5284 2483 17,127 450 X X 28-5284 450 YADKIN VY BK&TR CO ELKIN N C COM 984308106 84,730 5,884 X 28-5284 5884 YAHOO INC COM 984332106 405,347 12,565 X 28-5284 12315 250 540,129 16,743 X X 28-5284 16743 3,226 100 X 28-1500 100 YARDVILLE NATL BANCORP COM 985021104 44,160 1,200 X 28-5284 1200 36,800 1,000 X X 28-5284 1000 YORK WTR CO COM 987184108 790 30 X 28-5284 30 YOUBET COM INC COM 987413101 187,507 34,405 X X 28-5284 34405 YUM BRANDS INC COM 988498101 8,908,839 182,334 X 28-5284 174264 8070 3,031,372 62,042 X X 28-5284 52592 1620 7830 17,052 349 X 28-4580 349 14,853 304 X X 28-4580 304 ZALE CORP NEW COM 988858106 116,325 4,150 X 28-5284 4150 ZEBRA TECHNOLOGIES CORP CL A 989207105 8,050 180 X 28-5284 180 805 18 X X 28-5284 18 27,145 607 X X 28-1500 607 ZENITH NATL INS CORP COM 989390109 360,975 7,500 X X 28-5284 7500 COLUMN TOTAL 15,433,830 FILE NO. 28-1235 PAGE 189 OF 189 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ITEM 6: INVESTMENT ITEM 5: DISCRETION ITEM 8: ITEM 2: ITEM 3: ITEM 4: FAIR SHARES OR (B)SHARED ITEM 7: VOTING AUTHORITY (SHARES) ITEM 1: TITLE OF CUSIP MARKET PRINCIPAL -------------- MANAGERS ------------------------- NAME OF ISSUER CLASS NUMBER VALUE AMOUNT (A)SOLE (C)OTH INSTR V (A)SOLE (B)SHARED (C)NONE -------------- -------- --------- -------------- --------- ------- ------ -------- ------- --------- ------- ZIMMER HLDGS INC COM 98956P102 33,440,165 494,677 X 28-5284 481438 13239 15,742,147 232,872 X X 28-5284 225676 250 6946 35,152 520 X 28-1500 520 206,991 3,062 X 28-4580 3062 1,184,893 17,528 X X 28-4580 17208 320 ZIONS BANCORPORATION COM 989701107 954,952 11,543 X 28-5284 11238 305 248,355 3,002 X X 28-5284 1398 1590 14 ZIX CORP COM 98974P100 730 500 X 28-5284 500 ZORAN CORP COM 98975F101 58,507 2,674 X 28-1500 2674 ZWEIG FD COM 989834106 3,377 614 X 28-5284 614 4,461 811 X X 28-5284 811 ZWEIG TOTAL RETURN FD INC COM 989837109 13,405 2,764 X X 28-5284 2764 ZOLL MED CORP COM 989922109 44,778 1,700 X 28-5284 1700 COLUMN TOTAL 51,937,913 GRAND TOTAL 24,467,392,752 PAGE 1 OF 1 FORM 13F NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC. AS OF 03/31/06 ENTITY TOTALS FAIR MARKET ENTITY UNITS 22,877,579,264 28-5284 485,086,212 331,088,476 28-1500 10,508,16 76,524,965 28-11439 2,097,680 561,341,647 28-4580 11,759,812 620,858,400 5,333,575 GRAND TOTALS 24,467,392,752 514,785,295 NUMBER OF ISSUES 2,713