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, 2009

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:  Joseph C. Guyaux
Title: President
Phone: (412) 762-2569

Signature, Place, and Date of Signing:


/s/ Joseph C. Guyaux     Pittsburgh, PA     May 11, 2009
--------------------     --------------     ------------
     [Signature]          [City, State]        [Date]

Report Type (Check only one.):

[X]  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).)

[_]  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
--------------------   ----
None                   None




Page 2

                              Form 13F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:                8
Form 13F Information Table Entry Total:       3,253
Form 13F Information Table Value Total: $32,432,678
                                        (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    28-11135               ADVISORport, Inc.
 2    28-4635                Allegiant Asset Management Company
 3    28-12020               National City Bank
 4    28-4750                PNC Bancorp, Inc.
 5    28-4580                PNC Bank, Delaware
 6    28-5284                PNC Bank, National Association
 7    28-12474               PNC Capital Advisors, Inc.
 8    28-11439               PNC Equity Securities, LLC






                                                                                                                  FILE NO. 28-1235
PAGE   1 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
DAIMLER AG                     REG SHS        D1668R123         79,736       3,122       X     28-5284      3052                70
                                                                34,453       1,349       X   X 28-5284      1030               319
                                                                39,587       1,550       X   X 28-4580      1550
DEUTSCHE BANK AG               NAMEN AKT      D18190898         13,699         337       X     28-5284       337
                                                                11,382         280       X   X 28-5284       280
                                                                   772          19       X     28-11135       19
AMDOCS LTD                     ORD            G02602103        102,193       5,518       X     28-5284      5438                80
ARCH CAP GROUP LTD             ORD            G0450A105         31,239         580       X     28-5284       580
                                                               685,153      12,721       X   X 28-5284     12721
                                                               137,020       2,544       X     28-11135     2544
                                                               323,160       6,000       X                  6000
ARGO GROUP INTL HLDGS LTD      COM            G0464B107         46,822       1,554       X   X 28-5284      1230               324
ASPEN INSURANCE HOLDINGS LTD   SHS            G05384105          6,738         300       X     28-5284       300
                                                                   382          17       X   X 28-5284        17
ASSURED GUARANTY LTD           COM            G0585R106         85,302      12,600       X     28-5284     12600
AXIS CAPITAL HOLDINGS          SHS            G0692U109          2,254         100       X     28-5284       100
                                                                60,633       2,690       X   X 28-5284      2690
                                                                68,657       3,046       X     28-11135     3046
ACCENTURE LTD BERMUDA          CL A           G1150G111     15,161,560     551,530       X     28-5284    526914       410   24206
                                                             5,786,810     210,506       X   X 28-5284    195165      3054   12287
                                                             9,069,226     329,910       X     28-12474   306766             23144
                                                             2,295,552      83,505       X   X 28-12474    75103      1889    6513
                                                               311,682      11,338       X     28-11135    11338
                                                               430,631      15,665       X     28-4580     15375               290
                                                               172,775       6,285       X   X 28-4580      6285
BROOKFIELD INFRAST PARTNERS    LP INT UNIT    G16252101          1,136          86       X     28-5284        86
                                                                 1,308          99       X   X 28-5284        99
                                                                    13           1       X     28-11135        1
BUNGE LIMITED                  COM            G16962105        408,616       7,213       X     28-5284      2094              5119
                                                               111,147       1,962       X   X 28-5284      1662               300
                                                               425,725       7,515       X     28-11135     7515
CDC CORP                       SHS A          G2022L106            990         900       X   X 28-5284       900
   COLUMN TOTAL                                             35,906,353







                                                                                                                  FILE NO. 28-1235
PAGE   2 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
CONSOLIDATED WATER CO INC      ORD            G23773107         10,579         975       X     28-5284       975
COOPER INDS LTD                CL A           G24182100        176,029       6,807       X     28-5284      6187               620
                                                               663,231      25,647       X   X 28-5284     23915              1732
                                                                77,580       3,000       X   X 28-4580      3000
COVIDIEN LTD                   COM            G2552X108        821,726      24,721       X     28-5284     21454              3267
                                                               687,436      20,681       X   X 28-5284     18054      1145    1482
                                                                11,601         349       X     28-4580       349
                                                                40,287       1,212       X   X 28-4580      1212
ENDURANCE SPECIALTY HLDGS LT   SHS            G30397106          2,494         100       X     28-5284       100
                                                                47,386       1,900       X   X 28-5284      1500               400
ENSTAR GROUP LIMITED           SHS            G3075P101         84,480       1,500       X     28-5284      1500
                                                               168,960       3,000       X   X 28-5284      3000
ASA LIMITED                    COM            G3156P103          6,628         124       X     28-5284       124
                                                             2,672,450      50,000       X   X 28-5284     50000
EVEREST RE GROUP LTD           COM            G3223R108            283           4       X   X 28-5284         4
                                                                 5,027          71       X     28-11135       71
FRESH DEL MONTE PRODUCE INC    ORD            G36738105          2,069         126       X   X 28-5284       126
FRONTLINE LTD                  SHS            G3682E127         28,520       1,640       X     28-5284      1640
                                                                18,746       1,078       X   X 28-5284      1078
                                                                34,780       2,000       X   X 28-4580      2000
GARMIN LTD                     ORD            G37260109         61,509       2,900       X     28-5284      2785               115
                                                                49,631       2,340       X   X 28-5284       340              2000
                                                                14,974         706       X     28-11135      706
GREENLIGHT CAPITAL RE LTD      CLASS A        G4095J109         79,850       5,000       X   X 28-5284      5000
HELEN OF TROY CORP LTD         COM            G4388N106          1,141          83       X     28-11135       83
HERBALIFE LTD                  COM USD SHS    G4412G101          1,498         100       X     28-5284       100
   COLUMN TOTAL                                              5,768,895







                                                                                                                  FILE NO. 28-1235
PAGE   3 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
INGERSOLL-RAND COMPANY LTD     CL A           G4776G101      3,794,807     274,986       X     28-5284    249996             24990
                                                             4,602,286     333,499       X   X 28-5284    304214       475   28810
                                                                40,517       2,936       X     28-11135     2936
                                                                 4,140         300       X     28-4580       300
                                                                81,116       5,878       X   X 28-4580      4606              1272
INVESCO LTD                    SHS            G491BT108          8,385         605       X     28-5284       605
                                                                   956          69       X     28-11135       69
IPC HLDGS LTD                  ORD            G4933P101            892          33       X     28-5284        33
                                                                 2,542          94       X   X 28-5284        94
JINPAN INTL LTD                ORD            G5138L100        134,800       8,000       X   X 28-5284      8000
KNIGHTSBRIDGE TANKERS LTD      ORD            G5299G106          2,910         200       X   X 28-5284       200
LAZARD LTD                     SHS A          G54050102             59           2       X   X 28-5284         2
MARVELL TECHNOLOGY GROUP LTD   ORD            G5876H105        241,045      26,315       X     28-5284     25190              1125
                                                                36,869       4,025       X   X 28-5284      3675               350
                                                                59,229       6,466       X     28-11135     6466
                                                                32,518       3,550       X     28-4580      3550
MONTPELIER RE HOLDINGS LTD     SHS            G62185106        267,313      20,626       X     28-11135    20626
NABORS INDUSTRIES LTD          SHS            G6359F103        623,646      62,427       X     28-5284     58432              3995
                                                                75,065       7,514       X   X 28-5284      5539      1050     925
                                                               630,319      63,095       X     28-12474    58305              4790
                                                                 9,091         910       X   X 28-12474      910
                                                                   210          21       X     28-11135       21
                                                                23,696       2,372       X     28-4580      2372
NORDIC AMERICAN TANKER SHIPP   COM            G65773106         96,778       3,303       X     28-5284      3303
                                                                92,295       3,150       X   X 28-5284      3150
OPENTV CORP                    CL A           G67543101         33,792      22,379       X   X 28-5284               22379
PARTNERRE LTD                  COM            G6852T105          1,862          30       X   X 28-5284        30
                                                                 4,221          68       X     28-11135       68
PLATINUM UNDERWRITER HLDGS L   COM            G7127P100          2,127          75       X     28-5284        75
QIAO XING UNIVERSAL TELEPHON   ORD            G7303A109            923         750       X     28-5284       750
   COLUMN TOTAL                                             10,904,409







                                                                                                                  FILE NO. 28-1235
PAGE   4 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
RENAISSANCERE HOLDINGS LTD     COM            G7496G103          1,730          35       X   X 28-5284        35
SEAGATE TECHNOLOGY             SHS            G7945J104            421          70       X     28-5284        70
                                                                    78          13       X   X 28-5284        13
                                                                   180          30       X     28-11135       30
SHIP FINANCE INTERNATIONAL L   SHS            G81075106          4,802         732       X     28-5284       732
                                                                   249          38       X   X 28-5284        38
SIGNET JEWELERS LIMITED        SHS            G81276100          3,790         331       X     28-5284       331
                                                                59,334       5,182       X     28-11135     5182
SINA CORP                      ORD            G81477104          6,975         300       X   X 28-5284       300
UTI WORLDWIDE INC              ORD            G87210103        139,373      11,663       X   X 28-5284                       11663
TEXTAINER GROUP HOLDINGS LTD   SHS            G8766E109         31,779       4,708       X     28-11135     4708
TYCO ELECTRONICS LTD           COM NEW        G9144P105        645,387      58,459       X     28-5284     50197              8262
                                                               240,076      21,746       X   X 28-5284     16197      4037    1512
                                                                   508          46       X     28-11135       46
                                                                13,380       1,212       X   X 28-4580      1212
VISTAPRINT LIMITED             SHS            G93762204         27,490       1,000       X     28-5284      1000
                                                               128,378       4,670       X   X 28-5284      4670
WHITE MTNS INS GROUP LTD       COM            G9618E107         25,787         150       X   X 28-5284       150
WILLIS GROUP HOLDINGS LTD      SHS            G96655108      1,048,344      47,652       X     28-5284     21364             26288
                                                               724,328      32,924       X   X 28-5284      5511             27413
                                                               326,260      14,830       X     28-12474    13570              1260
                                                                 5,280         240       X   X 28-12474      240
                                                                   440          20       X     28-11135       20
XOMA LTD                       ORD            G9825R107          1,590       3,000       X     28-5284      3000
                                                                    53         100       X     28-4580       100
XL CAP LTD                     CL A           G98255105          4,827         884       X     28-5284       884
                                                                 4,614         845       X   X 28-5284       845
   COLUMN TOTAL                                              3,445,453







                                                                                                                  FILE NO. 28-1235
PAGE   5 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
ACE LTD                        SHS            H0023R105        235,290       5,824       X     28-5284      5824
                                                               272,458       6,744       X   X 28-5284      6019               725
                                                               616,544      15,261       X     28-11135    15261
                                                                20,200         500       X     28-4580       500
ALCON INC                      COM SHS        H01301102      8,846,270      97,308       X     28-5284     95818              1490
                                                             5,255,871      57,814       X   X 28-5284     54679       150    2985
                                                                 1,091          12       X     28-12474       12
                                                                   545           6       X   X 28-12474        6
                                                                 2,000          22       X     28-11135       22
                                                                59,182         651       X     28-4580       651
                                                                27,909         307       X   X 28-4580       307
WEATHERFORD INTERNATIONAL LT   REG            H27013103        512,917      46,334       X     28-5284     37664              8670
                                                               281,732      25,450       X   X 28-5284     24434       526     490
                                                                 1,107         100       X     28-12474      100
                                                                 1,749         158       X     28-11135      158
                                                                22,561       2,038       X     28-4580      2038
FOSTER WHEELER AG              COM            H27178104         23,951       1,371       X     28-5284      1371
                                                                18,344       1,050       X   X 28-5284       450               600
                                                                   472          27       X     28-11135       27
                                                                 5,241         300       X     28-4580       300
FOSTER WHEELER AG              *W EXP 09/24/2 H27178120          8,530         200       X     28-5284       200
LOGITECH INTL S A              SHS            H50430232        125,930      12,250       X     28-11135    12250
TRANSOCEAN LTD                 REG SHS        H8817H100     21,896,365     372,134       X     28-5284    346176             25958
                                                             8,456,073     143,713       X   X 28-5284    131565      3284    8864
                                                            18,418,509     313,027       X     28-12474   290418             22609
                                                             4,557,923      77,463       X   X 28-12474    69151      1770    6542
                                                               679,837      11,554       X     28-11135    11554
                                                               474,074       8,057       X     28-4580      7935               122
                                                                91,849       1,561       X   X 28-4580      1561
UBS AG                         SHS NEW        H89231338         26,055       2,763       X     28-5284      2763
                                                                24,754       2,625       X   X 28-5284      2523               102
                                                                   509          54       X     28-11135       54
MILLICOM INTL CELLULAR S A     SHS NEW        L6388F110        110,379       2,980       X   X 28-5284      1980              1000
ALLOT COMMUNICATIONS LTD       SHS            M0854Q105        216,952     135,595       X   X 28-5284              135595
   COLUMN TOTAL                                             71,293,173







                                                                                                                  FILE NO. 28-1235
PAGE   6 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
ALVARION LTD                   SHS            M0861T100          9,930       3,000       X   X 28-5284      3000
CELLCOM ISRAEL LTD             SHS            M2196U109          4,260         200       X     28-5284       200
                                                                21,300       1,000       X   X 28-5284      1000
CHECK POINT SOFTWARE TECH LT   ORD            M22465104         82,332       3,707       X     28-5284      3287               420
                                                                49,195       2,215       X   X 28-5284      2215
                                                                50,661       2,281       X   X 28-4580      2281
ECTEL LTD                      ORD            M29925100         12,235      34,858       X   X 28-5284               34858
ELBIT SYS LTD                  ORD            M3760D101        265,265       5,500       X   X 28-5284                        5500
GIVEN IMAGING                  ORD SHS        M52020100            883         125       X     28-5284       125
JACADA LTD                     ORD            M6184R101         29,488       9,215       X   X 28-5284                9215
MIND C T I LTD                 ORD            M70240102      1,288,505   1,610,631       X   X 28-5284             1610631
RRSAT GLOBAL COMM NTWRK LTD    SHS            M8183P102        256,800      21,400       X   X 28-5284     21400
RADVISION LTD                  ORD            M81869105        119,880      24,000       X   X 28-5284               24000
ASM INTL N V                   COM            N07045102          1,154         140       X     28-5284       140
ASML HOLDING N V               NY REG SHS     N07059186          3,414         195       X     28-5284       195
CORE LABORATORIES N V          COM            N22717107          2,195          30       X     28-5284        30
                                                               102,424       1,400       X   X 28-5284      1400
                                                                11,120         152       X     28-11135      152
QIAGEN N V                     ORD            N72482107         14,476         907       X     28-5284       907
                                                                98,585       6,177       X   X 28-5284      6177
BANCO LATINOAMERICANO DE EXP   CL E           P16994132            946         101       X     28-11135      101
ROYAL CARIBBEAN CRUISES LTD    COM            V7780T103         28,836       3,600       X     28-5284      3600
                                                                42,117       5,258       X   X 28-5284      5258
                                                               107,735      13,450       X     28-11135    13450
AEGEAN MARINE PETROLEUM NETW   SHS            Y0017S102        254,600      15,200       X   X 28-5284     15200
DANAOS CORPORATION             SHS            Y1968P105          1,002         300       X     28-5284       300
   COLUMN TOTAL                                              2,859,338







                                                                                                                  FILE NO. 28-1235
PAGE   7 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
DIANA SHIPPING INC             COM            Y2066G104          9,432         800       X     28-5284       800
                                                                85,478       7,250       X   X 28-5284      7250
DRYSHIPS INC                   SHS            Y2109Q101            255          50       X     28-5284        50
                                                                 4,581         900       X   X 28-5284       900
EAGLE BULK SHIPPING INC        COM            Y2187A101         64,494      15,175       X   X 28-5284     15175
                                                                 1,700         400       X   X 28-4580       400
FLEXTRONICS INTL LTD           ORD            Y2573F102        183,423      63,468       X     28-5284     63442                26
                                                                55,294      19,133       X   X 28-5284     19133
                                                               422,605     146,230       X     28-12474   134540             11690
                                                                 6,387       2,210       X   X 28-12474     2210
GENCO SHIPPING & TRADING LTD   SHS            Y2685T107          5,615         455       X     28-5284       455
                                                                15,203       1,232       X     28-11135     1232
GENERAL MARITIME CORP NEW      SHS            Y2693R101          2,814         402       X   X 28-5284       402
SEASPAN CORP                   SHS            Y75638109         12,330       1,500       X     28-5284      1500
                                                               203,774      24,790       X   X 28-5284     17550              7240
TEEKAY LNG PARTNERS L P        PRTNRSP UNITS  Y8564M105         52,889       3,150       X   X 28-5284      1150              2000
TEEKAY CORPORATION             COM            Y8564W103          1,423         100       X     28-5284       100
                                                                 7,827         550       X   X 28-5284       550
TEEKAY TANKERS LTD             CL A           Y8565N102         36,138       3,800       X   X 28-5284      3800
VERIGY LTD                     SHS            Y93691106          9,240       1,120       X     28-5284      1120
                                                                21,219       2,572       X   X 28-5284      2123               449
                                                                   297          36       X     28-4580        36
AAR CORP                       COM            000361105          4,013         320       X     28-5284                         320
                                                                 3,260         260       X   X 28-5284       260
ABB LTD                        SPONSORED ADR  000375204      5,663,585     406,283       X     28-5284    397358              8925
                                                             3,678,543     263,884       X   X 28-5284    228829      2975   32080
                                                                   655          47       X   X 28-12474       47
                                                               249,052      17,866       X     28-11135    17866
                                                                78,775       5,651       X     28-4580      5651
                                                                 7,667         550       X   X 28-4580       550
   COLUMN TOTAL                                             10,887,968







                                                                                                                  FILE NO. 28-1235
PAGE   8 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
ACCO BRANDS CORP               COM            00081T108          1,887       1,925       X     28-5284      1925
                                                                 4,175       4,260       X   X 28-5284      4135               125
A D C TELECOMMUNICATIONS       COM NEW        000886309            417          95       X     28-5284        95
                                                                61,899      14,100       X   X 28-5284       550             13550
ACM MANAGED DLR INCOME FD      COM            000949107         17,568       3,600       X   X 28-5284                        3600
ABM INDS INC                   COM            000957100          5,904         360       X     28-5284                         360
AFLAC INC                      COM            001055102      1,036,612      53,544       X     28-5284     44282              9262
                                                               992,936      51,288       X   X 28-5284     41103       400    9785
                                                               286,044      14,775       X     28-12474    12385              2390
                                                                 8,712         450       X   X 28-12474      450
                                                               145,490       7,515       X     28-11135     7515
AGCO CORP                      COM            001084102            843          43       X     28-5284        43
AGL RES INC                    COM            001204106         51,336       1,935       X     28-5284      1150               785
                                                               203,034       7,653       X   X 28-5284      5703              1950
A H BELO CORP                  COM CL A       001282102             33          34       X     28-5284        34
AES CORP                       COM            00130H105         63,439      10,919       X     28-5284     10071               848
                                                               140,515      24,185       X   X 28-5284     24185
AK STL HLDG CORP               COM            001547108         23,909       3,358       X     28-5284      3138               220
                                                                21,360       3,000       X   X 28-5284      3000
AMB PROPERTY CORP              COM            00163T109          1,037          72       X     28-5284        72
                                                               308,664      21,435       X     28-12474    21435
                                                                 7,776         540       X   X 28-12474      540
AMR CORP                       COM            001765106          1,117         350       X     28-5284       350
AT&T INC                       COM            00206R102    101,214,943   4,016,466       X     28-5284   3850112       660  165694
                                                            78,792,160   3,126,673       X   X 28-5284   2861241     37188  228244
                                                            18,373,396     729,103       X     28-12474   675852             53251
                                                             4,360,079     173,019       X   X 28-12474   154541      2967   15511
                                                             1,179,965      46,824       X     28-11135    46824
                                                             3,050,258     121,042       X     28-4580    120592               450
                                                             2,688,890     106,702       X   X 28-4580    104779       425    1498
   COLUMN TOTAL                                            213,044,398







                                                                                                                  FILE NO. 28-1235
PAGE   9 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
ATMI INC                       COM            00207R101          4,166         270       X     28-5284                         270
ATC TECHNOLOGY CORP            COM            00211W104        616,000      55,000       X   X 28-5284     55000
AU OPTRONICS CORP              SPONSORED ADR  002255107          3,826         456       X     28-5284       456
                                                                   227          27       X   X 28-5284        27
AVX CORP NEW                   COM            002444107         10,896       1,200       X   X 28-5284                        1200
AXT INC                        COM            00246W103          1,720       2,000       X   X 28-5284      2000
AZZ INC                        COM            002474104         34,967       1,325       X     28-11135     1325
AARON RENTS INC                COM            002535201         12,050         452       X     28-5284                         452
ABBOTT LABS                    COM            002824100     64,654,774   1,355,446       X     28-5284   1310585             44861
                                                            91,296,512   1,913,973       X   X 28-5284   1761647     38288  114038
                                                             1,001,366      20,993       X     28-12474    20380               613
                                                               155,597       3,262       X   X 28-12474     3262
                                                               240,790       5,048       X     28-11135     5048
                                                             1,196,316      25,080       X     28-4580     25080
                                                             6,011,249     126,022       X   X 28-4580    124700      1322
ABERCROMBIE & FITCH CO         CL A           002896207        165,172       6,940       X     28-5284      6940
                                                               393,961      16,553       X   X 28-5284     16553
                                                                   167           7       X   X 28-12474        7
                                                               137,017       5,757       X     28-11135     5757
ABERDEEN ASIA PACIFIC INCOM    COM            003009107         58,905      12,349       X   X 28-5284      9849              2500
ABIOMED INC                    COM            003654100        106,820      21,800       X   X 28-5284     21800
ABRAXIS BIOSCIENCE INC NEW     COM            00383Y102          3,576          75       X   X 28-5284        75
ACADIA RLTY TR                 COM SH BEN INT 004239109             11           1       X   X 28-5284         1
ACCESS INTEGRATED TECHNLGS I   CL A           004329108          2,480       4,000       X     28-5284      4000
ACERGY S A                     SPONSORED ADR  00443E104          3,442         557       X     28-5284       557
ACME UTD CORP                  COM            004816104        266,700      35,000       X     28-5284                       35000
ACTEL CORP                     COM            004934105          2,125         210       X     28-5284                         210
   COLUMN TOTAL                                            166,380,832







                                                                                                                  FILE NO. 28-1235
PAGE  10 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
ACTIVE POWER INC               COM            00504W100          2,404       4,006       X   X 28-5284      4006
ACTIVIDENTITY CORP             COM            00506P103         41,000      20,000       X   X 28-5284               20000
ACTIVISION BLIZZARD INC        COM            00507V109         22,426       2,144       X     28-5284      1324               820
                                                                 2,814         269       X   X 28-5284       269
                                                                27,175       2,598       X     28-11135     2598
                                                                13,180       1,260       X   X 28-4580      1260
ACTUANT CORP                   SDCV  2.000%11 00508XAB0         84,375       1,000       X     28-5284      1000
ACTUANT CORP                   CL A NEW       00508X203         10,723       1,038       X     28-5284      1038
                                                               124,373      12,040       X   X 28-5284     12040
                                                                    72           7       X     28-11135        7
ACUITY BRANDS INC              COM            00508Y102          7,664         340       X     28-5284                         340
                                                                 1,668          74       X   X 28-5284        74
                                                                78,349       3,476       X     28-11135     3476
ADAMS EXPRESS CO               COM            006212104         11,283       1,500       X     28-5284      1500
                                                                14,788       1,966       X   X 28-5284      1966
ADAPTEC INC                    COM            00651F108          1,608         670       X     28-5284                         670
                                                               716,899     298,708       X   X 28-5284              298708
ADMINISTAFF INC                COM            007094105          4,015         190       X     28-5284                         190
                                                                   740          35       X     28-11135       35
ADOBE SYS INC                  COM            00724F101      1,130,633      52,858       X     28-5284     40498             12360
                                                               575,455      26,903       X   X 28-5284     24453              2450
                                                                18,182         850       X     28-11135      850
ADTRAN INC                     COM            00738A106          6,646         410       X     28-5284       410
                                                                47,009       2,900       X   X 28-5284      2900
ADVANCE AUTO PARTS INC         COM            00751Y106          4,108         100       X     28-5284       100
                                                                63,263       1,540       X   X 28-5284      1540
                                                               125,253       3,049       X     28-11135     3049
ADVANTAGE ENERGY INCOME FD     TR UNIT        00762L101         19,221       7,910       X     28-5284      5910              2000
                                                                29,160      12,000       X   X 28-5284      7000      5000
   COLUMN TOTAL                                              3,184,486







                                                                                                                  FILE NO. 28-1235
PAGE  11 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
ADVANTEST CORP                 SPON ADR NEW   00762U200          5,742         381       X     28-5284       381
                                                                88,401       5,866       X     28-11135     5866
ADVENT CLAY GBL CONV SEC INC   COM BENE INTER 007639107          1,223         248       X     28-5284       248
                                                                 5,916       1,200       X   X 28-5284      1200
AEROPOSTALE                    COM            007865108         44,541       1,677       X     28-5284      1677
                                                               136,704       5,147       X   X 28-5284      5147
ADVANCED MICRO DEVICES INC     COM            007903107          2,745         900       X     28-5284       900
                                                                91,500      30,000       X   X 28-5284     30000
AEGON N V                      NY REGISTRY SH 007924103         71,278      18,562       X     28-5284     18562
                                                               211,135      54,983       X   X 28-5284     53634      1001     348
                                                                 1,094         285       X     28-11135      285
ADVANTA CORP                   CL A           007942105         36,137      72,274       X     28-5284     10176             62098
ADVANTA CORP                   CL B           007942204        102,635     155,508       X     28-5284    155508
ADVANCED ENERGY INDS           COM            007973100          2,033         270       X     28-5284                         270
                                                               214,146      28,439       X     28-11135    28439
ADVENT SOFTWARE INC            COM            007974108          1,599          48       X     28-5284        48
AEROVIRONMENT INC              COM            008073108          2,090         100       X     28-5284       100
                                                                56,430       2,700       X   X 28-5284                        2700
AES TR III                     PFD CV 6.75%   00808N202         77,805       2,250       X     28-5284      2250
                                                                73,655       2,130       X   X 28-5284      2130
AETNA INC NEW                  COM            00817Y108        670,389      27,554       X     28-5284     23844              3710
                                                             1,314,964      54,047       X   X 28-5284     53847               200
                                                               143,377       5,893       X     28-12474     5403               490
                                                                55,059       2,263       X   X 28-12474     2126               137
                                                                 2,044          84       X     28-11135       84
                                                                 9,732         400       X     28-4580       400
AFFILIATED COMPUTER SERVICES   CL A           008190100          7,184         150       X     28-5284       150
                                                             1,097,160      22,910       X   X 28-5284     22910
                                                                   766          16       X     28-11135       16
   COLUMN TOTAL                                              4,527,484







                                                                                                                  FILE NO. 28-1235
PAGE  12 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
AFFILIATED MANAGERS GROUP      COM            008252108          9,176         220       X     28-5284                         220
                                                                 3,629          87       X   X 28-5284        87
AGILENT TECHNOLOGIES INC       COM            00846U101      1,072,749      69,795       X     28-5284     65872              3923
                                                             1,499,620      97,568       X   X 28-5284     69084     23638    4846
                                                                 2,659         173       X     28-11135      173
                                                                11,989         780       X     28-4580       780
                                                                14,909         970       X   X 28-4580       610       360
AGILYSYS INC                   COM            00847J105         34,400       8,000       X   X 28-5284      8000
AGNICO EAGLE MINES LTD         COM            008474108        176,737       3,105       X     28-5284      1495              1610
                                                               293,707       5,160       X   X 28-5284      4910               250
AGRIUM INC                     COM            008916108         42,948       1,200       X     28-5284      1200
                                                               172,830       4,829       X   X 28-5284      4829
                                                                33,142         926       X     28-11135      926
AIR METHODS CORP               COM PAR $.06   009128307            998          59       X     28-11135       59
AIR PRODS & CHEMS INC          COM            009158106     14,987,025     266,436       X     28-5284    253801             12635
                                                            15,208,650     270,376       X   X 28-5284    235869      7375   27132
                                                                 4,894          87       X     28-11135       87
                                                               159,188       2,830       X     28-4580      2830
                                                               240,356       4,273       X   X 28-4580      4273
AIRGAS INC                     COM            009363102        262,535       7,765       X     28-5284      7765
                                                               495,790      14,664       X   X 28-5284     14664
                                                               347,905      10,290       X     28-11135    10290
AKAMAI TECHNOLOGIES INC        COM            00971T101        145,694       7,510       X     28-5284      7510
                                                                 3,880         200       X   X 28-5284       200
                                                               164,997       8,505       X     28-12474     6995              1510
                                                                 5,432         280       X   X 28-12474      280
                                                               306,501      15,799       X     28-11135    15799
ALABAMA AIRCRAFT IND INC       COM            01023E100          1,987       1,399       X   X 28-5284                1399
ALASKA AIR GROUP INC           COM            011659109          1,933         110       X     28-5284       100                10
ALASKA COMMUNICATIONS SYS GR   COM            01167P101          3,350         500       X   X 28-5284       500
   COLUMN TOTAL                                             35,709,610







                                                                                                                  FILE NO. 28-1235
PAGE  13 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
ALBEMARLE CORP                 COM            012653101        116,927       5,371       X     28-5284      5371
                                                                56,667       2,603       X   X 28-5284      1003              1600
ALBERTO CULVER CO NEW          COM            013078100          1,017          45       X     28-5284        45
                                                                 8,569         379       X   X 28-5284       379
ALCOA INC                      COM            013817101      2,346,246     319,652       X     28-5284    306437             13215
                                                             2,286,256     311,479       X   X 28-5284    295740       295   15444
                                                               232,318      31,651       X     28-12474    29581              2070
                                                                 2,863         390       X   X 28-12474      390
                                                                67,535       9,201       X     28-11135     9201
                                                                39,269       5,350       X     28-4580      5350
                                                                59,960       8,169       X   X 28-4580      8169
ALCATEL-LUCENT                 SPONSORED ADR  013904305         18,256       9,815       X     28-5284      9812                 3
                                                                20,944      11,260       X   X 28-5284     11088               172
                                                                27,839      14,967       X     28-11135    14967
                                                                     6           3       X     28-4580         3
                                                                   580         312       X   X 28-4580       312
ALDILA INC                     COM NEW        014384200      1,920,758     340,560       X   X 28-5284              340560
ALEXANDER & BALDWIN INC        COM            014482103         38,060       2,000       X     28-5284      2000
                                                               306,954      16,130       X   X 28-5284      8100              8030
ALESCO FINL INC                COM            014485106          2,400       5,000       X   X 28-5284      5000
ALEXANDRIA REAL ESTATE EQ IN   COM            015271109          3,640         100       X     28-5284                         100
                                                               722,540      19,850       X     28-12474    19850
                                                                18,200         500       X   X 28-12474      500
ALEXION PHARMACEUTICALS INC    COM            015351109        157,419       4,180       X   X 28-5284      4180
ALICO INC                      COM            016230104         34,320       1,430       X   X 28-5284                1430
ALIGN TECHNOLOGY INC           COM            016255101         87,650      11,053       X     28-5284     11053
                                                               526,021      66,333       X   X 28-5284     35333             31000
ALKERMES INC                   COM            01642T108            716          59       X     28-11135       59
ALLEGHANY CORP DEL             COM            017175100     31,408,968     115,973       X   X 28-5284     78485             37488
   COLUMN TOTAL                                             40,512,898







                                                                                                                  FILE NO. 28-1235
PAGE  14 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
ALLEGHENY ENERGY INC           COM            017361106        151,277       6,529       X     28-5284      6529
                                                                92,958       4,012       X   X 28-5284      3637               375
                                                                 2,317         100       X   X 28-4580       100
ALLEGHENY TECHNOLOGIES INC     COM            01741R102        202,567       9,237       X     28-5284      9037               200
                                                               705,181      32,156       X   X 28-5284     31481               675
                                                                   132           6       X   X 28-12474        6
                                                                 1,097          50       X   X 28-4580        50
ALLERGAN INC                   NOTE  1.500% 4 018490AL6        312,000       3,000       X     28-5284      3000
ALLERGAN INC                   COM            018490102     17,651,762     369,593       X     28-5284    353819             15774
                                                            11,626,742     243,441       X   X 28-5284    237291      2360    3790
                                                             9,360,530     195,991       X     28-12474   181613             14378
                                                             2,476,213      51,847       X   X 28-12474    46157      1296    4394
                                                               351,705       7,364       X     28-11135     7364
                                                               554,398      11,608       X     28-4580     11378               230
                                                               362,785       7,596       X   X 28-4580      7596
ALLETE INC                     COM NEW        018522300         32,001       1,199       X   X 28-5284      1199
                                                                28,025       1,050       X     28-11135     1050
ALLIANCE DATA SYSTEMS CORP     COM            018581108         85,909       2,325       X     28-5284      2325
                                                               135,052       3,655       X   X 28-5284      3655
ALLIANCE FIBER OPTIC PRODS I   COM            018680108        946,267   1,371,401       X   X 28-5284             1371401
ALLIANCE RES PARTNER L P       UT LTD PART    01877R108         17,111         588       X     28-5284       588
                                                               189,150       6,500       X   X 28-5284      6000               500
ALLIANCEBERNSTEIN GBL HGH IN   COM            01879R106        164,300      19,819       X     28-5284     19819
                                                               128,271      15,473       X   X 28-5284     13034      2439
ALLIANT ENERGY CORP            COM            018802108         21,209         859       X     28-5284       739               120
                                                               141,696       5,739       X   X 28-5284      5439               300
                                                                22,962         930       X     28-4580       930
ALLIANT TECHSYSTEMS INC        NOTE  2.750% 2 018804AH7        302,250       3,000       X     28-5284      3000
ALLIANT TECHSYSTEMS INC        COM            018804104        105,360       1,573       X     28-5284      1573
                                                               269,795       4,028       X   X 28-5284        28              4000
   COLUMN TOTAL                                             46,441,022







                                                                                                                  FILE NO. 28-1235
PAGE  15 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
ALLIANZ SE                     SP ADR 1/10 SH 018805101         17,514       2,095       X     28-5284      2095
                                                                13,811       1,652       X   X 28-5284      1652
                                                               267,294      31,973       X     28-11135    31973
ALLIANCEBERNSTEIN INCOME FUN   COM            01881E101        175,273      24,548       X     28-5284     24548
                                                               639,230      89,528       X   X 28-5284     52962             36566
                                                                56,385       7,897       X     28-4580      7897
ALLIANCEBERNSTEIN HOLDING LP   UNIT LTD PARTN 01881G106         50,666       3,442       X     28-5284      2442              1000
                                                               193,259      13,129       X   X 28-5284     13129
ALLIED CAP CORP NEW            COM            01903Q108         11,847       7,451       X     28-5284      7450                 1
                                                                10,825       6,808       X   X 28-5284      6808
                                                                 2,859       1,798       X     28-4580      1798
ALLIED IRISH BKS P L C         SPON ADR ORD   019228402         58,176      37,533       X     28-5284     31989              5544
                                                               118,189      76,251       X   X 28-5284     76251
                                                                   129          83       X     28-11135       83
                                                                 1,141         736       X     28-4580       736
ALLSCRIPT MISYS HEALTCAR SOL   COM            01988P108         19,993       1,943       X     28-5284      1943
                                                                65,928       6,407       X   X 28-5284      6407
ALLSTATE CORP                  COM            020002101      3,903,325     203,829       X     28-5284    195743              8086
                                                             6,590,434     344,148       X   X 28-5284    333632       125   10391
                                                               467,222      24,398       X     28-11135    24398
                                                                79,492       4,151       X     28-4580      4151
                                                                30,334       1,584       X   X 28-4580      1584
ALMOST FAMILY INC              COM            020409108         59,179       3,100       X     28-5284      3100
                                                             1,734,078      90,837       X     28-4580     90837
ALNYLAM PHARMACEUTICALS INC    COM            02043Q107          1,066          56       X   X 28-5284        56
ALPHA NATURAL RESOURCES INC    COM            02076X102         58,362       3,288       X     28-5284      3288
                                                                24,992       1,408       X   X 28-5284       808               600
ALPINE GLOBAL PREMIER PPTYS    COM SBI        02083A103          7,274       2,474       X     28-5284      2474
ALPINE TOTAL DYNAMIC DIVID F   COM SBI        021060108         14,350       2,500       X     28-5284      2500
                                                                31,570       5,500       X   X 28-5284       500              5000
ALSIUS CORPORATION             COM            021211107            109         421       X   X 28-5284                 421
   COLUMN TOTAL                                             14,704,306







                                                                                                                  FILE NO. 28-1235
PAGE  16 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
ALTAIR NANOTECHNOLOGIES INC    COM            021373105          1,060       1,000       X     28-5284      1000
                                                                11,660      11,000       X   X 28-5284                       11000
ALTERA CORP                    COM            021441100      1,077,219      61,380       X     28-5284     14080             47300
                                                               545,805      31,100       X   X 28-5284                       31100
ALTIGEN COMMUNICATIONS INC     COM            021489109         61,350      81,800       X   X 28-5284               81800
ALTRIA GROUP INC               COM            02209S103     20,489,884   1,279,019       X     28-5284   1142329       259  136431
                                                            66,341,351   4,141,158       X   X 28-5284   1650409      3170 2487579
                                                             2,443,370     152,520       X     28-12474   143392              9128
                                                               345,535      21,569       X   X 28-12474    19931              1638
                                                               486,624      30,376       X     28-11135    30376
                                                               847,090      52,877       X     28-4580     52877
                                                               730,272      45,585       X   X 28-4580     45585
ALTUS PHARMACEUTICALS INC      COM            02216N105            770       3,500       X     28-5284      3500
ALUMINA LTD                    SPONSORED ADR  022205108          8,377       2,258       X     28-5284      2258
                                                                   953         257       X   X 28-5284       257
ALUMINUM CORP CHINA LTD        SPON ADR H SHS 022276109            468          32       X     28-5284        32
AMAZON COM INC                 COM            023135106        933,496      12,711       X     28-5284     10636              2075
                                                               668,451       9,102       X   X 28-5284      8502               600
                                                                15,790         215       X     28-11135      215
                                                                22,032         300       X     28-4580       300
AMBAC FINL GROUP INC           COM            023139108         22,261      28,540       X     28-5284     28540
                                                                15,606      20,008       X   X 28-5284         8     20000
AMCOL INTL CORP                COM            02341W103          9,646         650       X     28-5284       650
AMEDISYS INC                   COM            023436108            412          15       X     28-5284        15
AMEREN CORP                    COM            023608102        158,434       6,832       X     28-5284      5152              1680
                                                               215,250       9,282       X   X 28-5284      9282
                                                                60,642       2,615       X   X 28-4580      2615
   COLUMN TOTAL                                             95,513,808







                                                                                                                  FILE NO. 28-1235
PAGE  17 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
AMERICA MOVIL SAB DE CV        SPON ADR L SHS 02364W105      1,394,999      51,514       X     28-5284     49236              2278
                                                             1,117,375      41,262       X   X 28-5284     35908              5354
                                                                   217           8       X   X 28-12474        8
                                                                 9,478         350       X     28-4580       350
AMERICA MOVIL SAB DE CV        SPON ADR A SHS 02364W204         88,043       3,225       X     28-5284      3225
AMERICAN AXLE & MFG HLDGS IN   COM            024061103             70          53       X     28-11135       53
AMER BIO MEDICA CORP           COM            024600108            700       5,000       X   X 28-5284      5000
AMERICAN CAMPUS CMNTYS INC     COM            024835100          1,406          81       X     28-5284        81
                                                               368,119      21,205       X     28-12474    21205
                                                                 9,374         540       X   X 28-12474      540
AMERICAN CAP LTD               COM            02503Y103         14,567       7,790       X     28-5284      7788                 2
                                                                 9,877       5,282       X   X 28-5284      4282              1000
AMERICAN COMMERCIAL LINES      COM NEW        025195207          4,026       1,270       X   X 28-5284                1217      53
AMERICAN EAGLE OUTFITTERS NE   COM            02553E106         90,698       7,410       X     28-5284      7410
AMERICAN ECOLOGY CORP          COM NEW        025533407          1,673         120       X     28-5284       120
AMERICAN ELEC PWR INC          COM            025537101        791,901      31,350       X     28-5284     29585              1765
                                                               924,769      36,610       X   X 28-5284     31724              4886
                                                                 1,465          58       X     28-11135       58
                                                                14,676         581       X     28-4580       581
                                                                34,783       1,377       X   X 28-4580       835               542
AMERICAN EXPRESS CO            COM            025816109      6,069,453     445,301       X     28-5284    423186             22115
                                                             6,091,520     446,920       X   X 28-5284    370868       700   75352
                                                               313,899      23,030       X     28-12474    20170              2860
                                                                 7,674         563       X   X 28-12474      563
                                                                15,511       1,138       X     28-11135     1138
                                                                22,244       1,632       X     28-4580      1632
                                                                53,157       3,900       X   X 28-4580      3900
AMERICAN FINL GROUP INC OHIO   COM            025932104         23,273       1,450       X     28-5284        14              1436
AMERICAN GREETINGS CORP        CL A           026375105          4,514         892       X     28-5284       892
                                                                 1,012         200       X   X 28-5284       200
   COLUMN TOTAL                                             17,480,473







                                                                                                                  FILE NO. 28-1235
PAGE  18 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
AMERICAN INCOME FD INC         COM            02672T109        278,850      48,750       X   X 28-5284                       48750
AMERICAN INDEPENDENCE CORP     COM NEW        026760405        128,503      36,198       X   X 28-5284               36198
AMERICAN INTL GROUP INC        COM            026874107        162,623     162,623       X     28-5284    134708             27915
                                                               145,002     145,002       X   X 28-5284    123737      1500   19765
                                                                58,747      58,747       X     28-12474    50739              8008
                                                                 1,528       1,528       X   X 28-12474     1528
                                                                   185         185       X     28-11135      185
                                                                 8,743       8,743       X     28-4580      8743
                                                                   350         350       X   X 28-4580       350
AMERICAN INTL GROUP INC        UNIT 99/99/999 026874115            108          20       X     28-5284        20
AMERICAN MED SYS HLDGS INC     COM            02744M108          1,728         155       X     28-5284       155
                                                                54,635       4,900       X   X 28-5284      4900
AMERICAN NATL INS CO           COM            028591105          5,241         100       X   X 28-5284       100
AMERICAN OIL & GAS INC NEW     COM            028723104          1,925       2,500       X   X 28-5284      2500
AMERICAN ORIENTAL BIOENGR IN   COM            028731107            386         100       X     28-5284       100
AMERICAN PUBLIC EDUCATION IN   COM            02913V103         15,394         366       X     28-5284       366
AMERICAN SCIENCE & ENGR INC    COM            029429107          5,580         100       X     28-5284       100
                                                                39,060         700       X   X 28-5284       700
AMERICAN SELECT PORTFOLIO IN   COM            029570108        262,564      31,600       X   X 28-5284                       31600
AMERICAN STS WTR CO            COM            029899101          9,080         250       X     28-5284       100               150
                                                                43,584       1,200       X   X 28-5284                        1200
AMERICAN TOWER CORP            NOTE  3.000% 8 029912AR3      7,438,500       5,000       X     28-11439     5000
   COLUMN TOTAL                                              8,662,316







                                                                                                                  FILE NO. 28-1235
PAGE  19 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                                ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:        CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS    NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                           
AMERICAN TOWER CORP            CL A            029912201      7,351,553     241,589       X     28-5284    226226             15363
                                                              2,339,428      76,879       X   X 28-5284     64579      2160   10140
                                                              7,564,442     248,585       X     28-12474   230819             17766
                                                              1,979,532      65,052       X   X 28-12474    58140      1569    5343
                                                                 46,041       1,513       X     28-11135     1513
                                                                352,988      11,600       X     28-4580     11350               250
                                                                104,314       3,428       X   X 28-4580      3428
AMERICAN STRATEGIC INCOME II   COM             03009T101        405,711      54,900       X   X 28-5284                       54900
AMERICAN STRATEGIC INCM PTFL   COM             030098107         97,843      12,800       X   X 28-5284                       12800
AMERN STRATEGIC INCOME PTFL    COM             030099105        473,076      61,200       X   X 28-5284                       61200
AMERICAN SUPERCONDUCTOR CORP   COM             030111108        225,030      13,000       X   X 28-5284     10000              3000
AMERICAN WTR WKS CO INC NEW    COM             030420103          3,848         200       X     28-5284       200
AMERICREDIT CORP               NOTE 0.750% 9/1 03060RAP6        201,930         500       X     28-11439      500
AMERICREDIT CORP               COM             03060R101          1,641         280       X     28-5284                         280
AMERISTAR CASINOS INC          COM             03070Q101         61,642       4,900       X   X 28-5284      4900
AMERISAFE INC                  COM             03071H100          2,283         149       X   X 28-5284       149
AMERISOURCEBERGEN CORP         COM             03073E105         54,281       1,662       X     28-5284      1662
                                                                 55,979       1,714       X   X 28-5284      1714
                                                                121,985       3,735       X     28-11135     3735
AMERIGROUP CORP                COM             03073T102            881          32       X     28-11135       32
AMERITYRE CORP                 COM             03073V107            140         500       X     28-5284       500
AMERIPRISE FINL INC            COM             03076C106        367,017      17,912       X     28-5284     15751              2161
                                                                466,434      22,764       X   X 28-5284     19934              2830
                                                                  1,557          76       X     28-11135       76
                                                                    410          20       X     28-4580        20
AMERIGAS PARTNERS L P          UNIT L P INT    030975106         55,146       1,950       X     28-5284      1950
                                                                130,060       4,599       X   X 28-5284      4599
AMETEK INC NEW                 COM             031100100        129,458       4,140       X     28-5284      4140
                                                              1,024,093      32,750       X   X 28-5284     32750
                                                                 21,858         699       X     28-11135      699
   COLUMN TOTAL                                              23,640,601







                                                                                                                  FILE NO. 28-1235
PAGE  20 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
AMGEN INC                      NOTE  0.375% 2 031162AQ3        455,000       5,000       X     28-5284      5000
AMGEN INC                      COM            031162100     25,211,424     509,116       X     28-5284    480095       330   28691
                                                            13,591,606     274,467       X   X 28-5284    234269      3392   36806
                                                            12,212,474     246,617       X     28-12474   227066             19551
                                                             3,036,467      61,318       X   X 28-12474    54400      1437    5481
                                                               412,056       8,321       X     28-11135     8321
                                                               670,996      13,550       X     28-4580     13320               230
                                                               359,317       7,256       X   X 28-4580      7256
AMKOR TECHNOLOGY INC           COM            031652100        117,015      43,500       X   X 28-5284     43500
AMPAL AMERN ISRAEL CORP        CL A           032015109             38          22       X     28-5284                          22
AMPCO-PITTSBURGH CORP          COM            032037103         13,260       1,000       X   X 28-5284                        1000
AMPHENOL CORP NEW              CL A           032095101     11,859,447     416,267       X     28-5284    380815             35452
                                                             4,472,702     156,992       X   X 28-5284    149367      3750    3875
                                                            10,280,930     360,861       X     28-12474   337117             23744
                                                             2,365,895      83,043       X   X 28-12474    74903      1694    6446
                                                                61,197       2,148       X     28-11135     2148
                                                               394,814      13,858       X     28-4580     13608               250
                                                               144,872       5,085       X   X 28-4580      5085
AMSURG CORP                    COM            03232P405         15,454         975       X     28-5284       975
                                                                15,850       1,000       X   X 28-5284      1000
AMYLIN PHARMACEUTICALS INC     COM            032346108         15,980       1,360       X     28-5284      1100               260
                                                                67,563       5,750       X   X 28-5284      5750
AMTRUST FINANCIAL SERVICES I   COM            032359309            506          53       X   X 28-5284        53
                                                               110,217      11,541       X     28-11135    11541
ANADARKO PETE CORP             COM            032511107      2,944,479      75,713       X     28-5284     73873              1840
                                                             4,257,172     109,467       X   X 28-5284    104311      1000    4156
                                                                12,095         311       X     28-11135      311
                                                                47,057       1,210       X     28-4580      1210
                                                                 2,333          60       X   X 28-4580        60
   COLUMN TOTAL                                             93,148,216







                                                                                                                  FILE NO. 28-1235
PAGE  21 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
ANALOG DEVICES INC             COM            032654105        196,843      10,215       X     28-5284      9375               840
                                                               354,684      18,406       X   X 28-5284      6595             11811
                                                                    19           1       X     28-12474        1
                                                                12,082         627       X     28-11135      627
                                                                 2,794         145       X     28-4580       145
ANALOGIC CORP                  COM PAR $0.05  032657207          3,522         110       X     28-5284                         110
ANESIVA INC COM                COM            03460L100             58         200       X   X 28-5284                 200
ANGLO AMERN PLC                ADR NEW        03485P201        116,187      13,621       X     28-5284     10687              2934
                                                               462,411      54,210       X   X 28-5284     53710               500
                                                               232,818      27,294       X     28-11135    27294
ANGLOGOLD ASHANTI LTD          SPONSORED ADR  035128206          4,595         125       X     28-5284       125
                                                               122,301       3,327       X   X 28-5284       727              2600
ANIKA THERAPEUTICS INC         COM            035255108         69,768      15,200       X     28-5284     15200
                                                                15,147       3,300       X   X 28-5284      3300
ANIXTER INTL INC               NOTE  1.000% 2 035290AJ4        151,500       2,000       X     28-5284      2000
ANIXTER INTL INC               COM            035290105         12,292         388       X     28-5284       128               260
                                                                31,680       1,000       X   X 28-5284      1000
ANNALY CAP MGMT INC            COM            035710409        212,558      15,325       X     28-5284     15325
                                                             1,491,136     107,508       X   X 28-5284    107508
                                                               959,804      69,200       X     28-12474    69200
                                                               379,067      27,330       X   X 28-12474    27330
ANSYS INC                      COM            03662Q105        149,521       5,957       X     28-5284      5557               400
                                                               657,921      26,212       X   X 28-5284     12512             13700
                                                               116,991       4,661       X     28-11135     4661
ANTHRACITE CAP INC             COM            037023108            383       1,125       X     28-5284      1125
                                                                   179         525       X   X 28-5284       525
                                                                 5,722      16,830       X   X 28-12474    16830
AON CORP                       COM            037389103        605,687      14,838       X     28-5284     14138               700
                                                             1,730,115      42,384       X   X 28-5284     42384
                                                                33,432         819       X     28-11135      819
   COLUMN TOTAL                                              8,131,217







                                                                                                                  FILE NO. 28-1235
PAGE  22 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
APACHE CORP                    COM            037411105      3,678,317      57,393       X     28-5284     40075             17318
                                                             5,357,475      83,593       X   X 28-5284     59275             24318
                                                               485,866       7,581       X     28-11135     7581
                                                                34,288         535       X     28-4580       535
APARTMENT INVT & MGMT CO       CL A           03748R101             16           3       X     28-5284         3
                                                                    66          12       X   X 28-5284        12
APEX BIOVENTURES ACQ CORP      *W EXP 06/07/2 03753Q113             14       1,000       X   X 28-5284      1000
APOGEE ENTERPRISES INC         COM            037598109         11,419       1,040       X     28-5284       800               240
                                                                 5,490         500       X   X 28-5284       500
                                                                   604          55       X     28-11135       55
APOLLO GROUP INC               CL A           037604105      6,504,288      83,037       X     28-5284     77610              5427
                                                             2,143,265      27,362       X   X 28-5284     25032       700    1630
                                                             7,098,186      90,619       X     28-12474    84360              6259
                                                             1,801,982      23,005       X   X 28-12474    20646       539    1820
                                                                16,293         208       X     28-11135      208
                                                               243,215       3,105       X     28-4580      3015                90
                                                                54,048         690       X   X 28-4580       690
APOLLO INVT CORP               COM            03761U106         20,212       5,808       X     28-5284      5808
                                                                34,800      10,000       X   X 28-5284     10000
                                                                   338          97       X     28-11135       97
APPLE INC                      COM            037833100     46,356,448     440,986       X     28-5284    419683             21303
                                                            24,770,687     235,642       X   X 28-5284    216622      9165    9855
                                                            18,103,977     172,222       X     28-12474   160668             11554
                                                             4,720,624      44,907       X   X 28-12474    40111      1000    3796
                                                             1,305,065      12,415       X     28-11135    12415
                                                             1,044,262       9,934       X     28-4580      9812               122
                                                               549,778       5,230       X   X 28-4580      5080       150
APPLIED INDL TECHNOLOGIES IN   COM            03820C105          5,263         312       X     28-5284                         312
                                                                91,351       5,415       X   X 28-5284      5415
APPLIED MICRO CIRCUITS CORP    COM NEW        03822W406          1,774         365       X     28-5284       365
APPLIED MATLS INC              COM            038222105      2,931,901     272,735       X     28-5284    264135              8600
                                                             1,604,975     149,300       X   X 28-5284    144935      2000    2365
                                                                   645          60       X     28-11135       60
   COLUMN TOTAL                                            128,976,932







                                                                                                                  FILE NO. 28-1235
PAGE  23 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
APTARGROUP INC                 COM            038336103         62,280       2,000       X   X 28-5284      2000
AQUA AMERICA INC               COM            03836W103      1,674,720      83,736       X     28-5284     83736
                                                             2,467,140     123,357       X   X 28-5284    116947              6410
                                                                 6,660         333       X     28-4580       333
ARACRUZ CELULOSE S A           SPON ADR PFD B 038496204          1,650         250       X   X 28-5284       250
                                                                    99          15       X     28-11135       15
ARBINET THEXCHANGE INC         COM            03875P100      1,530,936     956,835       X   X 28-5284              956835
ARBITRON INC                   COM            03875Q108          3,302         220       X     28-5284                         220
ARC WIRELESS SOLUTIONS INC     COM NEW        03878K207         76,541      27,833       X   X 28-5284               27833
ARCH CHEMICALS INC             COM            03937R102          3,982         210       X     28-5284                         210
                                                               116,452       6,142       X   X 28-5284      6142
ARCELORMITTAL SA LUXEMBOURG    NY REGISTRY SH 03938L104          8,978         448       X     28-5284       248               200
                                                                30,621       1,528       X   X 28-5284      1528
ARCH COAL INC                  COM            039380100        159,491      11,929       X     28-5284     11749               180
                                                               165,748      12,397       X   X 28-5284       197             12200
ARCHER DANIELS MIDLAND CO      NOTE  0.875% 2 039483AW2        185,750       2,000       X     28-5284      2000
ARCHER DANIELS MIDLAND CO      COM            039483102      2,557,760      92,072       X     28-5284     84562              7510
                                                             1,752,946      63,101       X   X 28-5284     52481      4500    6120
                                                                 1,000          36       X     28-12474       36
                                                               563,490      20,284       X     28-11135    20284
                                                                38,892       1,400       X     28-4580      1400
                                                                10,418         375       X   X 28-4580       375
ARCHER DANIELS MIDLAND CO      UNIT 99/99/999 039483201          1,837          50       X     28-5284        50
ARCSIGHT INC                   COM            039666102         60,402       4,730       X   X 28-5284      4730
ARCTIC CAT INC                 COM            039670104            306          80       X     28-5284                          80
ARENA PHARMACEUTICALS INC      COM            040047102          6,020       2,000       X     28-5284      2000
ARENA RESOURCES INC            COM            040049108         99,372       3,900       X     28-11135     3900
   COLUMN TOTAL                                             11,586,793







                                                                                                                  FILE NO. 28-1235
PAGE  24 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
ARGAN INC                      COM            04010E109          1,761         133       X     28-4580       133
ARES CAP CORP                  COM            04010L103          4,477         925       X     28-5284       925
ARIAD PHARMACEUTICALS INC      COM            04033A100          9,079       7,629       X   X 28-5284      7629
ARIBA INC                      COM NEW        04033V203          1,449         166       X     28-5284       166
ARKANSAS BEST CORP DEL         COM            040790107          4,184         220       X     28-5284                         220
                                                                 1,902         100       X   X 28-5284       100
ARM HLDGS PLC                  SPONSORED ADR  042068106         16,977       3,841       X     28-5284      3841
ARQULE INC                     COM            04269E107            911         220       X     28-5284                         220
ARRIS GROUP INC                COM            04269Q100          1,702         231       X   X 28-5284       231
ARROW ELECTRS INC              COM            042735100          4,498         236       X     28-5284       236
                                                                27,637       1,450       X   X 28-5284                        1450
ARROWHEAD RESH CORP            COM            042797100            560       1,000       X     28-5284      1000
ART TECHNOLOGY GROUP INC       COM            04289L107          3,315       1,300       X     28-5284      1300
ARTESIAN RESOURCES CORP        CL A           043113208         35,050       2,500       X     28-5284      2500
                                                                45,565       3,250       X   X 28-5284      3250
ARVINMERITOR INC               COM            043353101            386         489       X     28-5284       489
                                                                   808       1,023       X   X 28-5284      1023
ASCENT MEDIA CORP              COM SER A      043632108         39,750       1,590       X     28-5284       523              1067
                                                               113,000       4,520       X   X 28-5284      3890               630
ASHFORD HOSPITALITY TR INC     COM SHS        044103109         16,786      10,900       X   X 28-12474    10900
ASHLAND INC NEW                COM            044209104         19,689       1,906       X     28-5284      1789               117
                                                                12,902       1,249       X   X 28-5284      1249
                                                                    21           2       X     28-4580         2
ASIA TIGERS FD INC             COM            04516T105          3,267         300       X     28-5284       300
ASPENBIO PHARMA INC            COM            045346103          1,660       1,000       X     28-5284      1000
                                                                 2,490       1,500       X   X 28-5284      1500
   COLUMN TOTAL                                                369,826







                                                                                                                  FILE NO. 28-1235
PAGE  25 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
ASSOCIATED BANC CORP           COM            045487105        171,001      11,068       X     28-5284     10848               220
                                                               385,987      24,983       X   X 28-5284      8273      4500   12210
ASSURANT INC                   COM            04621X108          7,144         328       X     28-5284       328
                                                                 1,133          52       X   X 28-5284        52
                                                                 1,742          80       X     28-11135       80
ASTEC INDS INC                 COM            046224101          4,459         170       X     28-5284                         170
ASTORIA FINL CORP              COM            046265104             74           8       X   X 28-5284         8
                                                                 2,978         324       X     28-11135      324
ASTRAZENECA PLC                SPONSORED ADR  046353108         45,695       1,289       X     28-5284      1289
                                                               396,473      11,184       X   X 28-5284     10584               600
                                                                95,715       2,700       X     28-11135     2700
                                                                   851          24       X     28-4580        24
                                                                70,900       2,000       X   X 28-4580      2000
ASYST TECHNOLOGY CORP          COM            04648X107        279,727     999,025       X   X 28-5284              999025
ASTROTECH CORP                 COM            046484101         50,708     117,926       X   X 28-5284              117926
ATHENAHEALTH INC               COM            04685W103          2,628         109       X     28-5284       109
                                                                16,853         699       X   X 28-5284       699
                                                                10,874         451       X     28-11135      451
ATHEROS COMMUNICATIONS INC     COM            04743P108         14,660       1,000       X   X 28-5284      1000
ATLANTIC TELE NETWORK INC      COM NEW        049079205            134           7       X     28-11135        7
ATLAS AMER INC                 COM            049167109         15,916       1,819       X   X 28-5284      1819
ATLAS ENERGY RESOURCES LLC     COM            049303100         10,550       1,000       X   X 28-5284      1000
ATLAS PIPELINE PARTNERS LP     UNIT L P INT   049392103          1,176         300       X     28-5284       300
ATMEL CORP                     COM            049513104        315,810      87,000       X   X 28-5284     87000
ATMOS ENERGY CORP              COM            049560105        266,273      11,517       X     28-5284     10777               740
                                                               176,151       7,619       X   X 28-5284      6419              1200
                                                               236,541      10,231       X     28-12474     9379               852
                                                                91,393       3,953       X   X 28-12474     3713               240
   COLUMN TOTAL                                              2,673,546







                                                                                                                  FILE NO. 28-1235
PAGE  26 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
ATWOOD OCEANICS INC            COM            050095108          7,631         460       X     28-5284                         460
                                                               157,605       9,500       X   X 28-5284      9500
                                                               185,791      11,199       X     28-11135    11199
AUDIOVOX CORP                  CL A           050757103            446         130       X     28-5284                         130
AUTODESK INC                   COM            052769106        417,443      24,833       X     28-5284     22833              2000
                                                               286,947      17,070       X   X 28-5284     13570              3500
                                                                30,124       1,792       X     28-11135     1792
AUTOLIV INC                    COM            052800109         69,229       3,728       X     28-5284      3728
                                                                57,196       3,080       X   X 28-5284      3080
AUTOMATIC DATA PROCESSING IN   COM            053015103     23,963,755     681,563       X     28-5284    661373             20190
                                                            19,382,231     551,258       X   X 28-5284    514871      5187   31200
                                                                42,192       1,200       X     28-12474     1200
                                                                15,752         448       X     28-11135      448
                                                               300,970       8,560       X     28-4580      8560
                                                               184,590       5,250       X   X 28-4580      5250
AUTONATION INC                 COM            05329W102          1,388         100       X     28-5284       100
                                                                29,148       2,100       X   X 28-5284      2100
AUTOZONE INC                   COM            053332102      4,933,078      30,335       X     28-5284     27320              3015
                                                               576,651       3,546       X   X 28-5284      2836       280     430
                                                             9,497,333      58,402       X     28-12474    54382              4020
                                                             2,093,245      12,872       X   X 28-12474    11615       258     999
                                                               126,356         777       X     28-11135      777
                                                                24,393         150       X     28-4580       150
AVANEX CORP                    COM NEW        05348W307            186         106       X   X 28-5284                 106
AVALONBAY CMNTYS INC           COM            053484101         14,494         308       X     28-5284        20               288
                                                                 4,847         103       X   X 28-5284       103
                                                               283,254       6,019       X     28-12474     6019
                                                                 7,200         153       X   X 28-12474      153
AVATAR HLDGS INC               COM            053494100        411,950      27,500       X   X 28-5284     27500
   COLUMN TOTAL                                             63,105,425







                                                                                                                  FILE NO. 28-1235
PAGE  27 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
AVERY DENNISON CORP            COM            053611109        429,576      19,229       X     28-5284     14149              5080
                                                               767,848      34,371       X   X 28-5284     33371              1000
                                                               321,473      14,390       X     28-12474    14390
                                                                12,778         572       X     28-11135      572
                                                                11,170         500       X   X 28-4580       500
AVID TECHNOLOGY INC            COM            05367P100          2,431         266       X     28-5284                         266
                                                                21,022       2,300       X   X 28-5284      2300
AVIGEN INC                     COM            053690103        125,538     102,900       X   X 28-5284              102900
AVIS BUDGET GROUP              COM            053774105             18          20       X   X 28-5284        20
                                                                     9          10       X     28-11135       10
AVISTA CORP                    COM            05379B107          5,788         420       X     28-5284                         420
AVNET INC                      COM            053807103        135,773       7,754       X     28-5284      1999              5755
                                                                 2,854         163       X   X 28-5284       163
AVOCENT CORP                   COM            053893103          1,542         127       X   X 28-5284       127
AVON PRODS INC                 COM            054303102        518,172      26,946       X     28-5284     21426              5520
                                                               365,774      19,021       X   X 28-5284      4398             14623
                                                                22,076       1,148       X     28-11135     1148
AXA                            SPONSORED ADR  054536107          9,117         761       X     28-5284       761
                                                                10,758         898       X   X 28-5284       687               211
                                                               177,939      14,853       X     28-11135    14853
                                                                 1,354         113       X     28-4580       113
AXCELIS TECHNOLOGIES INC       COM            054540109            403       1,061       X     28-5284      1061
                                                                 1,613       4,244       X   X 28-5284      4244
AXSYS TECHNOLOGIES INC         COM            054615109         52,550       1,250       X     28-5284      1250
BB&T CORP                      COM            054937107        641,183      37,895       X     28-5284     25515             12380
                                                               473,235      27,969       X   X 28-5284     15199      8900    3870
                                                                23,959       1,416       X     28-11135     1416
                                                               143,820       8,500       X     28-4580      8500
B & G FOODS INC NEW            UNIT 99/99/999 05508R205         10,990       1,000       X   X 28-5284      1000
   COLUMN TOTAL                                              4,290,763







                                                                                                                  FILE NO. 28-1235
PAGE  28 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
BCE INC                        COM NEW        05534B760         43,283       2,175       X     28-5284       575              1600
                                                                19,900       1,000       X   X 28-5284      1000
                                                                 1,194          60       X     28-11135       60
BHP BILLITON PLC               SPONSORED ADR  05545E209         31,838         805       X     28-5284       805
                                                                   237           6       X   X 28-5284         6
BJS WHOLESALE CLUB INC         COM            05548J106         17,722         554       X     28-5284       554
BJ SVCS CO                     COM            055482103         24,636       2,476       X     28-5284      2466                10
                                                               194,483      19,546       X     28-12474    19546
BP PLC                         SPONSORED ADR  055622104     67,842,944   1,691,844       X     28-5284   1636616       260   54968
                                                            77,443,085   1,931,249       X   X 28-5284   1679657     32926  218666
                                                             1,612,662      40,216       X     28-12474    36752              3464
                                                               201,543       5,026       X   X 28-12474     4749               277
                                                               309,492       7,718       X     28-11135     7718
                                                             1,189,727      29,669       X     28-4580     29669
                                                             4,758,467     118,665       X   X 28-4580     69711      1000   47954
BP PRUDHOE BAY RTY TR          UNIT BEN INT   055630107        230,815       3,545       X     28-5284      3095               450
                                                                56,906         874       X   X 28-5284       874
BRE PROPERTIES INC             CL A           05564E106         14,624         745       X     28-5284       505               240
                                                               115,817       5,900       X   X 28-5284      5900
BRT RLTY TR                    SH BEN INT NEW 055645303          3,195         900       X     28-5284       900
BT GROUP PLC                   ADR            05577E101          2,915         261       X     28-5284       261
                                                                20,475       1,833       X   X 28-5284      1833
                                                                   949          85       X     28-11135       85
BMC SOFTWARE INC               COM            055921100         56,364       1,708       X     28-5284      1708
                                                                12,771         387       X   X 28-5284       387
                                                               234,168       7,096       X     28-11135     7096
B2B INTERNET HOLDRS TR         DEPOSTRY RCPT  056033103             63         234       X   X 28-5284       234
BADGER METER INC               COM            056525108            636          22       X   X 28-5284        22
BAIDU INC                      SPON ADR REP A 056752108          4,945          28       X     28-5284        28
                                                               158,940         900       X   X 28-5284       900
   COLUMN TOTAL                                            154,604,796







                                                                                                                  FILE NO. 28-1235
PAGE  29 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
BAKER MICHAEL CORP             COM            057149106         26,000       1,000       X     28-5284      1000
                                                                13,000         500       X   X 28-5284       500
BAKER HUGHES INC               COM            057224107      1,380,992      48,371       X     28-5284     46104              2267
                                                               988,144      34,611       X   X 28-5284     33071       325    1215
                                                                69,377       2,430       X     28-12474     1260              1170
                                                                 6,567         230       X   X 28-12474      230
                                                               142,550       4,993       X     28-11135     4993
                                                                36,715       1,286       X     28-4580      1286
                                                                43,339       1,518       X   X 28-4580      1518
BALCHEM CORP                   COM            057665200        182,444       7,260       X   X 28-5284      7260
BALDOR ELEC CO                 COM            057741100          5,796         400       X     28-5284                         400
                                                                 7,245         500       X   X 28-5284       500
BALL CORP                      COM            058498106      1,410,804      32,507       X     28-5284     32407               100
                                                             1,773,324      40,860       X   X 28-5284     38840              2020
                                                                 8,680         200       X     28-4580       200
                                                               100,688       2,320       X   X 28-4580      2320
BALLARD PWR SYS INC NEW        COM            058586108            160         100       X     28-5284       100
                                                                 4,800       3,000       X   X 28-5284      3000
BALLY TECHNOLOGIES INC         COM            05874B107          5,158         280       X     28-5284       280
BANCFIRST CORP                 COM            05945F103        124,342       3,416       X     28-11135     3416
BANCO BILBAO VIZCAYA ARGENTA   SPONSORED ADR  05946K101         40,536       4,986       X     28-5284      4986
                                                                   146          18       X     28-11135       18
BANCO SANTANDER SA             ADR            05964H105        280,285      40,621       X     28-5284     40088               533
                                                                18,140       2,629       X   X 28-5284      2629
                                                               291,208      42,204       X     28-11135    42204
BANCORPSOUTH INC               COM            059692103         77,942       3,740       X     28-5284      3600               140
BANCROFT FUND LTD              COM            059695106      1,003,458      91,976       X     28-5284     91976
   COLUMN TOTAL                                              8,041,840







                                                                                                                  FILE NO. 28-1235
PAGE  30 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
BANK OF AMERICA CORPORATION    COM            060505104     12,530,870   1,837,371       X     28-5284   1770359       490   66522
                                                            16,432,006   2,409,385       X   X 28-5284   2260689     49807   98889
                                                               686,733     100,694       X     28-12474    94484              6210
                                                                 8,061       1,182       X   X 28-12474     1182
                                                               266,873      39,131       X     28-11135    39131
                                                               219,699      32,214       X     28-4580     32214
                                                               158,401      23,226       X   X 28-4580     22346       378     502
BANK HAWAII CORP               COM            062540109         21,107         640       X     28-5284       600                40
                                                                85,748       2,600       X   X 28-5284      2600
BANK KY FINL CORP              COM            062896105          8,550         450       X     28-5284       250               200
BANK MONTREAL QUE              COM            063671101          5,875         225       X   X 28-5284       225
BANK OF NEW YORK MELLON CORP   COM            064058100     11,237,907     397,802       X     28-5284    376831             20971
                                                             6,358,425     225,077       X   X 28-5284    210839      5122    9116
                                                             2,049,848      72,561       X     28-12474    67915              4646
                                                               412,478      14,601       X   X 28-12474    13617               984
                                                               844,703      29,901       X     28-11135    29901
                                                               210,434       7,449       X     28-4580      5940              1509
                                                                20,114         712       X   X 28-4580       712
BANK NOVA SCOTIA HALIFAX       COM            064149107         22,068         900       X     28-5284       900
BANK SOUTH CAROLINA CORP       COM            065066102          3,025         275       X   X 28-5284       275
BANKRATE INC                   COM            06646V108          4,341         174       X   X 28-5284       174
BANNER CORP                    COM            06652V109          8,823       3,032       X     28-4580      3032
BAR HBR BANKSHARES             COM            066849100         46,600       2,000       X   X 28-5284      2000
BARCLAYS BK PLC                DJAIG CMDT ETN 06738C778     13,485,094     408,021       X     28-5284    406854              1167
                                                             1,075,811      32,551       X   X 28-5284     31706       845
                                                             1,140,423      34,506       X     28-4580     31006              3500
                                                               302,705       9,159       X   X 28-4580      8600               559
BARCLAYS BK PLC                IPSP CROIL ETN 06738C786        389,759      20,644       X     28-5284     19644              1000
                                                               151,040       8,000       X   X 28-5284      8000
   COLUMN TOTAL                                             68,187,529







                                                                                                                  FILE NO. 28-1235
PAGE  31 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
BARCLAYS PLC                   ADR            06738E204         20,834       2,451       X     28-5284      2451
                                                                 5,270         620       X   X 28-5284       620
                                                                91,273      10,738       X     28-11135    10738
BARD C R INC                   COM            067383109     24,993,735     313,519       X     28-5284    304624       200    8695
                                                            14,075,602     176,563       X   X 28-5284    161558      8895    6110
                                                             9,114,069     114,326       X     28-12474   105420              8906
                                                             2,697,326      33,835       X   X 28-12474    29550       882    3403
                                                                18,575         233       X     28-11135      233
                                                               685,831       8,603       X     28-4580      8463               140
                                                               268,816       3,372       X   X 28-4580      3072       300
BARCLAYS BK PLC                ETN IPTH NCKL  06739F119          1,492         100       X     28-5284       100
BARCLAYS BK PLC                IPMS INDIA ETN 06739F291         13,501         445       X     28-5284       445
BARCLAYS BK PLC                ADR 2 PREF 2   06739F390         44,239       4,100       X     28-5284      4100
                                                                 8,632         800       X   X 28-5284       800
BARCLAYS BANK PLC              ETN IPTH AGRI  06739H206          3,874         100       X     28-5284       100
                                                               344,786       8,900       X   X 28-4580      8900
BARCLAYS BANK PLC              ADR PFD SR 5   06739H362         19,980       1,500       X     28-5284      1500
                                                             6,926,400     520,000       X     28-12474   520000
BARCLAYS BANK PLC              ADS7.75%PFD S4 06739H511         36,076       2,900       X     28-5284      2900
                                                                 9,952         800       X   X 28-5284       800
BARCLAYS BANK PLC              SP ADR 7.1%PF3 06739H776         11,700       1,000       X     28-5284      1000
                                                                11,700       1,000       X   X 28-5284      1000
BARNES & NOBLE INC             COM            067774109         22,449       1,050       X     28-5284      1050
BARNES GROUP INC               COM            067806109          4,062         380       X     28-5284                         380
                                                                   609          57       X     28-4580        57
                                                                35,277       3,300       X   X 28-4580      3300
BARRICK GOLD CORP              COM            067901108      1,499,555      46,254       X     28-5284     42944              3310
                                                             2,558,068      78,904       X   X 28-5284     77779       675     450
                                                               199,837       6,164       X     28-12474     5654               510
                                                                76,252       2,352       X   X 28-12474     2209               143
                                                               146,474       4,518       X     28-11135     4518
                                                                25,936         800       X     28-4580       800
   COLUMN TOTAL                                             63,972,182







                                                                                                                  FILE NO. 28-1235
PAGE  32 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
BASIN WTR INC                  COM            07011T306          1,320       1,500       X     28-5284      1500
BAXTER INTL INC                COM            071813109     29,056,594     567,290       X     28-5284    539211       330   27749
                                                            17,463,920     340,959       X   X 28-5284    314656      2640   23663
                                                            14,303,646     279,259       X     28-12474   260322             18937
                                                             3,623,405      70,742       X   X 28-12474    62733      1638    6371
                                                               275,051       5,370       X     28-11135     5370
                                                               772,807      15,088       X     28-4580     14438               650
                                                               507,180       9,902       X   X 28-4580      9902
BAY NATL CORP                  COM            072500101          3,146       2,300       X     28-5284                        2300
                                                                17,977      13,141       X   X 28-5284     13141
BAYTEX ENERGY TR               TRUST UNIT     073176109         24,140       2,000       X     28-5284      2000
                                                                21,123       1,750       X   X 28-5284      1750
                                                                21,726       1,800       X     28-4580      1800
BE AEROSPACE INC               COM            073302101      5,595,271     645,360       X     28-5284    645360
BEACON POWER CORP              COM            073677106            713       1,516       X   X 28-5284      1516
BECKMAN COULTER INC            NOTE  2.500%12 075811AD1        285,000       3,000       X     28-5284      3000
BECKMAN COULTER INC            COM            075811109        264,946       5,194       X     28-5284      4984               210
                                                               599,214      11,747       X   X 28-5284      7857              3890
                                                                 8,876         174       X   X 28-4580       174
BECTON DICKINSON & CO          COM            075887109     19,999,193     297,430       X     28-5284    277139       160   20131
                                                            12,047,189     179,167       X   X 28-5284    155695      2179   21293
                                                            11,503,823     171,086       X     28-12474   159007             12079
                                                             3,139,436      46,690       X   X 28-12474    41355      1082    4253
                                                               213,151       3,170       X     28-11135     3170
                                                               567,237       8,436       X     28-4580      8266               170
                                                               120,830       1,797       X   X 28-4580      1797
BED BATH & BEYOND INC          COM            075896100        674,735      27,262       X     28-5284     22487              4775
                                                               550,217      22,231       X   X 28-5284     17086       250    4895
                                                                 1,114          45       X     28-11135       45
                                                                 6,188         250       X     28-4580       250
                                                                71,775       2,900       X   X 28-4580      2900
BEL FUSE INC                   CL B           077347300          1,478         110       X     28-5284                         110
   COLUMN TOTAL                                            121,742,421







                                                                                                                  FILE NO. 28-1235
PAGE  33 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
BELDEN INC                     COM            077454106            388          31       X     28-5284        31
                                                                   776          62       X     28-11135       62
BEMIS INC                      COM            081437105        435,945      20,789       X     28-5284     20789
                                                               740,031      35,290       X   X 28-5284      7250             28040
                                                                 3,565         170       X     28-11135      170
BENCHMARK ELECTRS INC          COM            08160H101          6,160         550       X     28-5284                         550
                                                               157,920      14,100       X     28-11135    14100
BENEFICIAL MUTUAL BANCORP IN   COM            08173R104      1,832,996     186,091       X     28-5284    186091
                                                                75,973       7,713       X   X 28-5284      7713
BERKLEY W R CORP               COM            084423102         32,134       1,425       X     28-5284      1425
                                                                 1,398          62       X   X 28-5284        62
                                                               510,464      22,637       X     28-4580     22637
BERKSHIRE HATHAWAY INC DEL     CL A           084670108              0          58       X     28-5284        51                 7
                                                                     0       2,407       X   X 28-5284      1627       288     492
                                                                     0          10       X   X 28-4580        10
BERKSHIRE HATHAWAY INC DEL     CL B           084670207     22,825,080       8,094       X     28-5284      7195               899
                                                            24,474,780       8,679       X   X 28-5284      7209        72    1398
                                                               468,120         166       X     28-4580       166
                                                               138,180          49       X   X 28-4580        49
BERRY PETE CO                  CL A           085789105            603          55       X     28-5284        55
                                                                12,604       1,150       X   X 28-5284                        1150
BEST BUY INC                   SDCV  2.250% 1 086516AF8        294,750       3,000       X     28-5284      3000
BEST BUY INC                   COM            086516101      3,161,423      83,283       X     28-5284     79541              3742
                                                               925,199      24,373       X   X 28-5284     23423       150     800
                                                             1,180,442      31,097       X     28-12474    30193               904
                                                               184,410       4,858       X   X 28-12474     4858
                                                               134,720       3,549       X     28-11135     3549
                                                                 3,796         100       X     28-4580       100
                                                                20,498         540       X   X 28-4580       540
BEVERLY NATL CORP              COM            088115100        245,298      16,859       X   X 28-5284     16859
   COLUMN TOTAL                                             57,867,653







                                                                                                                  FILE NO. 28-1235
PAGE  34 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
BHP BILLITON LTD               SPONSORED ADR  088606108        407,376       9,134       X     28-5284      8334               800
                                                               849,942      19,057       X   X 28-5284     15957              3100
                                                               266,262       5,970       X     28-11135     5970
                                                               120,420       2,700       X     28-4580      2700
BIDZ COM INC                   COM            08883T200         16,080       4,000       X     28-5284                        4000
BIG 5 SPORTING GOODS CORP      COM            08915P101         11,740       2,000       X   X 28-5284                2000
BIG LOTS INC                   COM            089302103          7,481         360       X     28-5284                         360
                                                                 1,226          59       X   X 28-5284        59
BIO-REFERENCE LABS INC         COM $.01 NEW   09057G602         92,004       4,400       X   X 28-5284      4400
BIO RAD LABS INC               CL A           090572207            989          15       X     28-5284        15
                                                               198,095       3,006       X   X 28-5284      3006
                                                                 7,315         111       X     28-11135      111
BIOMARIN PHARMACEUTICAL INC    COM            09061G101            741          60       X     28-5284        60
BIOGEN IDEC INC                COM            09062X103        292,608       5,582       X     28-5284      4762               820
                                                               136,397       2,602       X   X 28-5284      2602
                                                                   367           7       X     28-11135        7
BIOMED REALTY TRUST INC        COM            09063H107          1,354         200       X     28-5284       200
                                                                13,540       2,000       X   X 28-5284      2000
BIOMIMETIC THERAPEUTICS INC    COM            09064X101         14,200       2,000       X     28-5284      2000
BIOTECH HOLDRS TR              DEPOSTRY RCPTS 09067D201         34,994         200       X     28-5284       200
                                                               279,952       1,600       X   X 28-5284       600              1000
BIOVAIL CORP                   COM            09067J109        165,345      15,100       X   X 28-5284     15100
BLACK & DECKER CORP            COM            091797100        749,392      23,745       X     28-5284     21145              2600
                                                               450,645      14,279       X   X 28-5284     13879               400
                                                                 1,894          60       X     28-4580        60
                                                                 7,890         250       X   X 28-4580       250
BJS RESTAURANTS INC            COM            09180C106          1,113          80       X     28-5284        80
   COLUMN TOTAL                                              4,129,362







                                                                                                                  FILE NO. 28-1235
PAGE  35 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
BLACK BOX CORP DEL             COM            091826107          3,778         160       X     28-5284                         160
                                                                14,166         600       X   X 28-5284                         600
                                                                   354          15       X     28-11135       15
BLACKBOARD INC                 COM            091935502            889          28       X   X 28-5284        28
BLACKROCK GLOBAL FLG INC TR    COM            091941104         51,016       5,600       X   X 28-5284      3100      2500
BLACK HILLS CORP               COM            092113109         32,202       1,800       X   X 28-5284      1800
                                                               156,001       8,720       X     28-11135     8720
BLACKROCK INVT QLTY MUN TR     COM            09247B109        164,398      18,389       X   X 28-5284     18389
BLACKROCK INVT QUALITY MUN T   COM            09247D105        113,864      10,592       X     28-5284     10592
BLACKROCK NY INVT QUALITY MU   COM            09247E103          5,258         490       X     28-5284       490
                                                                16,095       1,500       X   X 28-5284      1500
BLACKROCK INCOME TR INC        COM            09247F100        208,452      34,800       X   X 28-5284                       34800
BLACKROCK INC                  DBCV  2.625% 2 09247XAB7        137,875       1,000       X     28-5284      1000
BLACKROCK INC                  COM            09247X101     17,825,883     137,080       X     28-5284    115123             21957
                                                               764,375       5,878       X   X 28-5284      5508               370
                                                         2,900,997,340  22,308,500       X     28-4750  22308500
BLACKROCK INSD MUN TERM TR I   COM            092474105         16,448       1,600       X     28-5284      1600
                                                               185,040      18,000       X   X 28-5284                       18000
BLACKROCK INCOME OPP TRUST I   COM            092475102          4,395         500       X     28-5284       500
                                                               215,355      24,500       X   X 28-5284                       24500
BLACKROCK INSD MUN INCOME TR   COM            092479104         84,549       7,333       X     28-5284      7333
                                                                64,914       5,630       X   X 28-5284                        5630
BLACKROCK MUNI 2018 TERM TR    COM            09248C106         16,966       1,199       X     28-5284      1199
BLACKROCK MUN INCOME TR        SH BEN INT     09248F109         67,519       6,685       X     28-5284      6685
                                                                45,450       4,500       X   X 28-5284      4500
BLACKROCK N J MUN INCOME TR    SH BEN INT     09248J101        794,149      67,415       X     28-5284     67415
                                                               115,267       9,785       X   X 28-5284      9785
   COLUMN TOTAL                                          2,922,101,998







                                                                                                                  FILE NO. 28-1235
PAGE  36 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
BLACKROCK PA STRATEGIC MUN T   COM            09248R103         75,214       7,934       X     28-5284      7934
                                                                87,974       9,280       X   X 28-5284      9280
BLACKROCK NJ MUNICIPAL BOND    COM            09249A109        296,221      23,233       X     28-5284     23233
                                                                51,281       4,022       X   X 28-5284      4022
BLACKROCK CORE BD TR           SHS BEN INT    09249E101          6,551         636       X     28-5284       636
                                                               190,550      18,500       X   X 28-5284                       18500
BLACKROCK MUNI INCOME TR II    COM            09249N101        139,512      13,558       X     28-5284     13558
                                                                38,073       3,700       X   X 28-5284      3700
BLACKROCK PFD OPPORTUNITY TR   COM SHS        09249V103         11,739       2,100       X     28-5284      2100
BLACKROCK LTD DURATION INC T   COM SHS        09249W101         15,828       1,290       X     28-5284      1290
                                                                12,270       1,000       X   X 28-5284      1000
BLACKROCK LONG-TERM MUNI ADV   COM            09250B103         16,180       2,000       X     28-5284      2000
BLACKROCK S&P QLTY RK EQ MD    SHS BEN INT    09250D109          2,998         354       X     28-5284       354
BLACKROCK HIGH INCOME SHS      SHS BEN INT    09250E107         14,097      11,100       X   X 28-5284                       11100
BLACKROCK WORLD INVT TR        COM SHS BN INT 09250K103         23,580       3,000       X   X 28-5284      3000
BLACKROCK DIVID ACHIEVRS TM    COM            09250N107          3,411         538       X     28-5284       538
BLACKROCK GLBL ENRGY & RES T   COM            09250U101         56,909       3,705       X     28-5284      3705
                                                               550,579      35,845       X   X 28-5284     35845
BLACKROCK PFD & EQ ADVANTAGE   COM            092508100         20,256       3,200       X     28-5284      3200
                                                                63,300      10,000       X   X 28-5284     10000
BLACKROCK ENHANCED DIV ACHV    COM            09251A104         28,072       4,400       X     28-5284      4400
                                                                89,001      13,950       X   X 28-5284     13950
BLACKROCK INTL GRWTH & INC T   COM BENE INTER 092524107          8,429       1,115       X     28-5284      1115
                                                               170,856      22,600       X   X 28-5284     22600
BLACKROCK MUNIVEST FD INC      COM            09253R105          5,535         735       X     28-5284       735
                                                                15,060       2,000       X   X 28-5284                        2000
   COLUMN TOTAL                                              1,993,476







                                                                                                                  FILE NO. 28-1235
PAGE  37 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
BLACKSTONE GROUP L P           COM UNIT LTD   09253U108         19,756       2,725       X     28-5284      2725
                                                             1,703,750     235,000       X   X 28-5284    235000
BLACKROCK MUNIYIELD FD INC     COM            09253W104          8,256         800       X     28-5284       800
                                                               178,195      17,267       X   X 28-5284     16342               925
BLACKROCK MUNI INTER DR FD I   COM            09253X102         22,340       2,000       X     28-5284      2000
                                                                33,510       3,000       X     28-4580      3000
BLACKROCK MUNIENHANCED FD IN   COM            09253Y100          7,857         900       X     28-5284       900
                                                                14,073       1,612       X     28-4580      1612
BLACKROCK KELSO CAPITAL CORP   COM            092533108      7,720,289   1,842,551       X               1842551
BLACKROCK REAL ASSET EQUITY    COM            09254B109          2,118         300       X   X 28-5284       300
BLACKROCK MUNYIELD INSD FD I   COM            09254E103         21,780       2,000       X     28-5284      2000
                                                                45,368       4,166       X   X 28-5284      4166
BLACKROCK MUNIYIELD QUALITY    COM            09254F100         19,076       1,666       X   X 28-5284      1666
                                                                18,274       1,596       X     28-4580      1596
BLACKROCK MUNIYIELD ARIZ FD    COM            09254K109         67,508       6,974       X     28-5284      6974
                                                                42,244       4,364       X   X 28-5284      4364
BLACKROCK MUNIYIELD CALIF IN   COM            09254N103         23,064       2,259       X     28-5284      2259
BLACKROCK MUNIHLDGS INS INV    COM            09254P108        123,586      12,200       X     28-5284     12200
                                                                94,584       9,337       X   X 28-5284      9337
BLACKROCK MUNIHOLDINGS N J I   COM            09254X101         60,452       5,275       X     28-5284      5275
BLACKROCK MUNIYIELD N J FD I   COM            09254Y109        287,750      25,000       X     28-5284     25000
BLACKROCK GBL EQTY INCOME TR   COM            09255D104         14,600       2,000       X     28-5284      2000
                                                                   672          92       X   X 28-5284        92
BLACKROCK MUNIYIELD PA INSD    COM            09255G107        102,899       9,050       X     28-5284      9050
                                                               303,590      26,701       X   X 28-5284     26701
BLACKROCK PFD INCOME STRATEG   COM            09255H105         27,821       5,701       X   X 28-5284      5701
BLACKROCK ENHANCED GOVT FD I   COM            09255K108          4,825         296       X   X 28-5284                         296
BLACKROCK CORPOR HIGH YLD FD   COM            09255L106          2,040         500       X   X 28-5284                         500
   COLUMN TOTAL                                             10,970,277







                                                                                                                  FILE NO. 28-1235
PAGE  38 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
BLACKROCK CORPOR HI YLD III    COM            09255M104        113,100      29,000       X     28-5284     29000
BLACKROCK CORPOR HI YLD FD V   COM            09255N102         54,691       8,440       X     28-5284      8440
BLACKROCK DEBT STRAT FD INC    COM            09255R103         40,564      20,181       X     28-5284     20181
                                                                 3,620       1,801       X   X 28-5284      1801
BLACKROCK SR HIGH INCOME FD    COM            09255T109          3,220       1,400       X   X 28-5284                        1400
BLACKROCK FLOAT RATE OME STR   COM            09255X100         37,247       4,157       X   X 28-5284                4157
BLACKROCK FL RATE OME STRA I   COM SHS        09255Y108         21,531       2,688       X   X 28-5284      1775       913
BLACKROCK ENH CAP & INC FD I   COM            09256A109         19,980       2,000       X   X 28-5284      2000
BLDRS INDEX FDS TR             EMER MK 50 ADR 09348R300         43,824       1,600       X   X 28-5284      1600
BLOCK H & R INC                COM            093671105        676,177      37,173       X     28-5284     35313              1860
                                                               287,948      15,830       X   X 28-5284     15830
                                                                 2,747         151       X     28-11135      151
                                                                90,950       5,000       X     28-4580      5000
BLOCKBUSTER INC                CL A           093679108            374         520       X     28-5284       520
BLOCKBUSTER INC                CL B           093679207            234         520       X     28-5284       520
BLUE NILE INC                  COM            09578R103         10,553         350       X     28-5284                         350
BLYTH INC                      COM NEW        09643P207          3,266         125       X   X 28-5284       125
BOARDWALK PIPELINE PARTNERS    UT LTD PARTNER 096627104         10,752         480       X     28-5284       480
                                                                82,880       3,700       X   X 28-5284      3700
BOEING CO                      COM            097023105      4,107,462     115,443       X     28-5284    102827             12616
                                                             7,354,315     206,698       X   X 28-5284    201626        50    5022
                                                                 2,313          65       X     28-12474       65
                                                               128,906       3,623       X     28-11135     3623
                                                               160,501       4,511       X     28-4580      4511
                                                                80,055       2,250       X   X 28-4580      2250
BORGWARNER INC                 COM            099724106         52,597       2,591       X     28-5284      2471               120
                                                               129,047       6,357       X   X 28-5284       658              5699
                                                                   406          20       X     28-11135       20
   COLUMN TOTAL                                             13,519,260







                                                                                                                  FILE NO. 28-1235
PAGE  39 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
BOSTON BEER INC                CL A           100557107          7,301         350       X     28-5284       350
                                                                   125           6       X   X 28-5284         6
BOSTON PRIVATE FINL HLDGS IN   COM            101119105          1,580         450       X     28-5284                         450
                                                                11,583       3,300       X   X 28-5284      3300
BOSTON PROPERTIES INC          COM            101121101      1,018,462      29,074       X     28-5284     28454               620
                                                             1,847,412      52,738       X   X 28-5284     52238               500
                                                               995,728      28,425       X     28-12474    28425
                                                                25,222         720       X   X 28-12474      720
BOSTON SCIENTIFIC CORP         COM            101137107        947,219     119,147       X     28-5284    104161             14986
                                                               256,777      32,299       X   X 28-5284     27070      1700    3529
                                                               405,371      50,990       X     28-12474    42380              8610
                                                                12,959       1,630       X   X 28-12474     1630
BOWNE & CO INC                 COM            103043105            681         212       X     28-5284                         212
BOYD GAMING CORP               COM            103304101         11,750       3,150       X     28-5284      2700               450
                                                                15,394       4,127       X   X 28-5284      3777               350
                                                                   746         200       X     28-4580       200
BRADY CORP                     CL A           104674106        153,557       8,710       X     28-5284      8260               450
                                                                49,364       2,800       X   X 28-5284                        2800
BRANDYWINE RLTY TR             SH BEN INT NEW 105368203          2,850       1,000       X     28-5284      1000
                                                                 4,862       1,706       X   X 28-5284      1706
                                                                70,737      24,820       X     28-12474    24820
                                                                31,607      11,090       X   X 28-12474    11090
BRASIL TELECOM PARTICIPACOES   SPON ADR PFD   105530109            361          10       X     28-5284        10
                                                                28,643         793       X   X 28-5284       793
                                                               229,651       6,358       X     28-11135     6358
BREITBURN ENERGY PARTNERS LP   COM UT LTD PTN 106776107          7,510       1,150       X   X 28-5284       150              1000
BRIGGS & STRATTON CORP         COM            109043109         34,238       2,075       X     28-5284      1655               420
                                                               707,850      42,900       X   X 28-5284     42900
BRIGHTPOINT INC                COM NEW        109473405            351          82       X   X 28-5284                          82
   COLUMN TOTAL                                              6,879,891







                                                                                                                  FILE NO. 28-1235
PAGE  40 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
BRINKER INTL INC               COM            109641100         92,835       6,148       X     28-5284      6138                10
                                                                63,420       4,200       X   X 28-5284      4200
                                                                73,311       4,855       X     28-12474     4855
BRISTOL MYERS SQUIBB CO        COM            110122108     43,601,138   1,989,103       X     28-5284   1925966             63137
                                                            58,344,420   2,661,698       X   X 28-5284   2489538     43587  128573
                                                             9,570,425     436,607       X     28-12474   406983             29624
                                                             2,325,054     106,070       X   X 28-12474    96179      1980    7911
                                                               604,356      27,571       X     28-11135    27571
                                                             1,568,661      71,563       X     28-4580     68093              3470
                                                             1,660,330      75,745       X   X 28-4580     74234      1511
BRISTOL MYERS SQUIBB CO        PFD CV $2      110122207          3,800           8       X   X 28-5284         8
BRISTOW GROUP INC              COM            110394103          1,350          63       X     28-11135       63
BRITISH AMERN TOB PLC          SPONSORED ADR  110448107         32,292         702       X     28-5284       702
                                                                68,862       1,497       X   X 28-5284       251              1246
BRITISH SKY BROADCASTING GRO   SPONSORED ADR  111013108          9,382         378       X     28-5284       378
                                                                 8,687         350       X   X 28-5284       350
BROADCOM CORP                  CL A           111320107        414,405      20,741       X     28-5284     17456              3285
                                                                15,285         765       X   X 28-5284       765
BROADRIDGE FINL SOLUTIONS IN   COM            11133T103        456,596      24,535       X     28-5284     20535              4000
                                                               898,212      48,265       X   X 28-5284     46228        25    2012
                                                                 2,792         150       X     28-12474      150
                                                                64,298       3,455       X     28-11135     3455
BROCADE COMMUNICATIONS SYS I   COM NEW        111621306          1,725         500       X     28-5284       500
                                                                89,031      25,806       X     28-11135    25806
BRONCO DRILLING CO INC         COM            112211107          2,630         500       X     28-5284       500
BROOKFIELD ASSET MGMT INC      CL A LTD VT SH 112585104         65,317       4,740       X     28-5284      4740
                                                             1,296,009      94,050       X   X 28-5284     88200              5850
                                                                   413          30       X     28-11135       30
BROOKFIELD PPTYS CORP          COM            112900105          8,323       1,450       X   X 28-5284                        1450
                                                               267,685      46,635       X     28-12474    46635
                                                                 6,773       1,180       X   X 28-12474     1180
   COLUMN TOTAL                                            121,617,817







                                                                                                                  FILE NO. 28-1235
PAGE  41 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
BROOKLINE BANCORP INC DEL      COM            11373M107         27,550       2,900       X     28-5284      2900
BROWN & BROWN INC              COM            115236101         60,890       3,220       X     28-5284      3220
BROWN FORMAN CORP              CL A           115637100      1,812,079      45,189       X     28-5284     45189
                                                                13,955         348       X   X 28-5284       348
                                                               993,036      24,764       X     28-4580     24764
BROWN FORMAN CORP              CL B           115637209      1,854,288      47,754       X     28-5284     47754
                                                            14,483,590     373,000       X   X 28-5284    373000
                                                                 4,854         125       X     28-4580       125
                                                               240,397       6,191       X   X 28-4580      6191
BROWN SHOE INC NEW             COM            115736100          1,283         342       X     28-5284                         342
                                                                   563         150       X   X 28-5284       150
BRUNSWICK CORP                 COM            117043109          2,760         800       X     28-5284       800
                                                                 2,760         800       X   X 28-5284                         800
BRUSH ENGINEERED MATLS INC     COM            117421107          2,497         180       X     28-5284                         180
                                                                27,740       2,000       X   X 28-5284      2000
BRYN MAWR BK CORP              COM            117665109        121,320       7,200       X     28-5284      7200
                                                               203,885      12,100       X   X 28-5284      7000              5100
BUCKEYE PARTNERS L P           UNIT LTD PARTN 118230101      1,071,619      30,051       X     28-5284     30051
                                                               417,507      11,708       X   X 28-5284     11408       300
BUCKEYE TECHNOLOGIES INC       COM            118255108          1,065         500       X     28-5284       200               300
                                                                    40          19       X   X 28-5284        19
BUCKLE INC                     COM            118440106        185,194       5,800       X   X 28-5284      5800
                                                                 2,586          81       X     28-11135       81
BUCYRUS INTL INC NEW           COM            118759109         12,690         836       X     28-5284       836
                                                                 5,176         341       X   X 28-5284       341
BUFFALO WILD WINGS INC         COM            119848109        128,762       3,520       X   X 28-5284      3520
BURGER KING HLDGS INC          COM            121208201          9,134         398       X     28-5284       398
                                                               170,289       7,420       X   X 28-5284      7420
   COLUMN TOTAL                                             21,857,509







                                                                                                                  FILE NO. 28-1235
PAGE  42 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
BURLINGTON NORTHN SANTA FE C   COM            12189T104      2,504,526      41,638       X     28-5284     39940              1698
                                                             9,625,023     160,017       X   X 28-5284    155377        65    4575
                                                               169,864       2,824       X     28-11135     2824
                                                               455,817       7,578       X   X 28-4580      7578
C&D TECHNOLOGIES INC           COM            124661109            333         180       X     28-5284                         180
CBL & ASSOC PPTYS INC          COM            124830100            743         315       X     28-5284       315
                                                               250,915     106,320       X     28-12474   106320
                                                                47,967      20,325       X   X 28-12474    20325
CBS CORP NEW                   CL A           124857103          1,654         422       X     28-5284       355                67
                                                                59,435      15,162       X   X 28-5284     15087                75
CBS CORP NEW                   CL B           124857202         68,778      17,911       X     28-5284     15861              2050
                                                               881,710     229,612       X   X 28-5284    222962              6650
                                                                   791         206       X     28-4580       206
                                                                 3,840       1,000       X   X 28-4580      1000
CB RICHARD ELLIS GROUP INC     CL A           12497T101          4,030       1,000       X     28-5284                        1000
                                                                 9,430       2,340       X   X 28-5284      2340
C D I CORP                     COM            125071100          1,166         120       X     28-5284                         120
CEC ENTMT INC                  COM            125137109         16,822         650       X     28-5284       450               200
                                                                 4,529         175       X   X 28-5284       175
CF INDS HLDGS INC              COM            125269100          5,335          75       X     28-5284        75
                                                                28,879         406       X   X 28-5284       206               200
CH ENERGY GROUP INC            COM            12541M102         17,822         380       X     28-5284       250               130
                                                                23,450         500       X   X 28-4580       500
C H ROBINSON WORLDWIDE INC     COM NEW        12541W209         88,894       1,949       X     28-5284      1269               680
                                                               273,660       6,000       X   X 28-5284      1700              4300
                                                               332,497       7,290       X     28-11135     7290
CIGNA CORP                     COM            125509109      3,180,888     180,835       X     28-5284    179535              1300
                                                             5,648,817     321,138       X   X 28-5284    296807      1500   22831
                                                                 2,656         151       X     28-11135      151
                                                                   704          40       X     28-4580        40
   COLUMN TOTAL                                             23,710,975







                                                                                                                  FILE NO. 28-1235
PAGE  43 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
CIT GROUP INC                  COM            125581108          7,695       2,700       X     28-5284       200              2500
                                                                    20           7       X   X 28-5284         7
CLECO CORP NEW                 COM            12561W105         11,886         548       X     28-5284       548
                                                                31,060       1,432       X   X 28-5284      1032               400
CKX INC                        COM            12562M106          8,200       2,000       X     28-5284      2000
CME GROUP INC                  COM            12572Q105        428,472       1,739       X     28-5284      1349               390
                                                               101,020         410       X   X 28-5284       370                40
                                                               115,557         469       X     28-11135      469
CMS ENERGY CORP                COM            125896100         66,446       5,612       X     28-5284       210              5402
                                                                    59           5       X   X 28-5284         5
CNA SURETY CORP                COM            12612L108          3,485         189       X   X 28-5284       189
CNOOC LTD                      SPONSORED ADR  126132109         37,323         371       X     28-5284       371
                                                                70,420         700       X   X 28-5284       600               100
CPFL ENERGIA S A               SPONSORED ADR  126153105         10,143         250       X   X 28-5284       250
CRA INTL INC                   COM            12618T105          9,723         515       X   X 28-5284       515
CRH PLC                        ADR            12626K203          4,305         198       X     28-5284       198
                                                                 2,174         100       X   X 28-5284       100
                                                               222,835      10,250       X     28-11135    10250
CSG SYS INTL INC               COM            126349109         26,975       1,889       X     28-11135     1889
CSX CORP                       COM            126408103      2,033,930      78,682       X     28-5284     75332              3350
                                                             1,848,663      71,515       X   X 28-5284     65290              6225
                                                               202,664       7,840       X     28-11135     7840
                                                                93,060       3,600       X     28-4580      3600
CTS CORP                       COM            126501105          2,772         768       X     28-5284       528               240
CVS CAREMARK CORPORATION       COM            126650100     11,009,827     400,503       X     28-5284    391303              9200
                                                             7,054,704     256,628       X   X 28-5284    235685      3729   17214
                                                             2,539,801      92,390       X     28-12474    87009              5381
                                                               347,336      12,635       X   X 28-12474    11683               952
                                                               818,515      29,775       X     28-11135    29775
                                                               105,039       3,821       X     28-4580      3821
   COLUMN TOTAL                                             27,214,109







                                                                                                                  FILE NO. 28-1235
PAGE  44 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
CA INC                         COM            12673P105        310,253      17,618       X     28-5284     17618
                                                               256,842      14,585       X   X 28-5284     14585
                                                                70,141       3,983       X     28-11135     3983
CABLEVISION SYS CORP           CL A NY CABLVS 12686C109            906          70       X     28-5284        70
                                                                   945          73       X   X 28-5284        73
                                                                   207          16       X     28-11135       16
CABOT CORP                     COM            127055101         94,853       9,025       X     28-5284      8500               525
                                                               117,975      11,225       X   X 28-5284     11225
CABOT MICROELECTRONICS CORP    COM            12709P103         54,068       2,250       X   X 28-5284      2250
CABOT OIL & GAS CORP           COM            127097103         23,570       1,000       X     28-5284      1000
                                                                 2,357         100       X   X 28-5284       100
                                                                   660          28       X     28-11135       28
CACI INTL INC                  NOTE  2.125% 5 127190AD8        171,250       2,000       X     28-5284      2000
CACI INTL INC                  CL A           127190304         14,414         395       X     28-5284       135               260
                                                                 1,679          46       X   X 28-5284        46
CADBURY PLC                    SPONS ADR      12721E102          8,242         272       X     28-5284       272
                                                                49,631       1,638       X   X 28-5284      1638
                                                                 1,939          64       X     28-11135       64
                                                               172,589       5,696       X   X 28-4580      5696
CADENCE DESIGN SYSTEM INC      COM            127387108            840         200       X     28-5284       200
                                                                   210          50       X   X 28-5284        50
CADIZ INC                      COM NEW        127537207          4,333         543       X   X 28-5284                 543
CAL DIVE INTL INC DEL          COM            12802T101        366,054      54,070       X   X 28-5284               54070
CAL MAINE FOODS INC            COM NEW        128030202         17,912         800       X     28-5284       800
                                                                11,195         500       X   X 28-5284       500
CALAMOS GBL DYN INCOME FUND    COM            12811L107          9,320       1,710       X     28-5284      1710
CALAMOS CONV & HIGH INCOME F   COM SHS        12811P108         12,633       1,550       X     28-5284      1550
                                                               106,798      13,104       X   X 28-5284     13104
   COLUMN TOTAL                                              1,881,816







                                                                                                                  FILE NO. 28-1235
PAGE  45 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
CALAMOS ASSET MGMT INC         CL A           12811R104            481         100       X     28-5284       100
                                                                   144          30       X   X 28-5284        30
CALAMOS CONV OPP AND INC FD    SH BEN INT     128117108          9,493       1,100       X   X 28-5284      1100
CALAMOS STRATEGIC TOTL RETN    COM SH BEN INT 128125101         44,382       7,800       X     28-5284      7800
CALIFORNIA COASTAL CMNTYS IN   COM NEW        129915203        142,459     233,539       X   X 28-5284              233539
CALIFORNIA WTR SVC GROUP       COM            130788102        146,510       3,500       X     28-5284      3500
                                                                   670          16       X   X 28-5284        16
                                                                 4,856         116       X     28-11135      116
CALIPER LIFE SCIENCES INC      COM            130872104            787         795       X   X 28-5284                 795
CALLAWAY GOLF CO               COM            131193104            718         100       X     28-5284       100
                                                               179,414      24,988       X     28-11135    24988
CALLWAVE INC DEL               COM            13126N101        376,222     427,525       X   X 28-5284              427525
CALPINE CORP                   COM NEW        131347304         19,082       2,802       X     28-5284      2802
CAMDEN NATL CORP               COM            133034108         22,850       1,000       X   X 28-5284                        1000
CAMDEN PPTY TR                 SH BEN INT     133131102        332,289      15,398       X     28-5284     15118               280
                                                               131,638       6,100       X   X 28-5284      6100
                                                               252,702      11,710       X     28-12474    11710
                                                                 6,474         300       X   X 28-12474      300
CAMECO CORP                    COM            13321L108         24,038       1,400       X     28-5284      1400
                                                               317,679      18,502       X   X 28-5284     18502
CAMERON INTERNATIONAL CORP     COM            13342B105         13,575         619       X     28-5284       619
                                                                52,106       2,376       X   X 28-5284       476              1900
CAMPBELL SOUP CO               COM            134429109      2,935,400     107,288       X     28-5284    105528       290    1470
                                                           127,512,593   4,660,548       X   X 28-5284    110882   1268430 3281236
                                                                66,348       2,425       X     28-11135     2425
                                                                33,242       1,215       X     28-4580      1215
                                                             8,611,806     314,759       X   X 28-4580    313959       800
   COLUMN TOTAL                                            141,237,958







                                                                                                                  FILE NO. 28-1235
PAGE  46 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
CANADIAN NATL RY CO            COM            136375102        363,008      10,240       X     28-5284      8185              2055
                                                             1,570,790      44,310       X   X 28-5284     22715             21595
                                                                 1,773          50       X   X 28-4580        50
CANADIAN NAT RES LTD           COM            136385101         81,709       2,119       X     28-5284      2119
                                                               996,583      25,845       X   X 28-5284     19650              6195
                                                                 3,085          80       X     28-11135       80
                                                                28,920         750       X   X 28-4580       750
CANADIAN PAC RY LTD            COM            13645T100         11,852         400       X     28-5284       400
                                                               116,861       3,944       X   X 28-5284       369              3575
CANADIAN SOLAR INC             COM            136635109          4,784         800       X   X 28-5284       800
CANDELA CORP                   COM            136907102             57         138       X     28-11135      138
CANO PETE INC                  COM            137801106             86         200       X   X 28-5284       200
CANON INC                      ADR            138006309         20,640         711       X     28-5284       711
                                                               123,668       4,260       X   X 28-5284      1035              3225
                                                                 2,119          73       X     28-11135       73
                                                                 2,990         103       X   X 28-4580                         103
CAPE FEAR BK CORP              COM            139380109         11,369      20,671       X   X 28-5284     20671
CAPELLA EDUCATION COMPANY      COM            139594105          9,169         173       X     28-11135      173
CAPITAL BK CORP                COM            139793103        399,000      87,500       X     28-1500     87500
CAPLEASE INC                   COM            140288101        118,200      60,000       X   X 28-5284     60000
CAPITAL ONE FINL CORP          COM            14040H105        512,171      41,844       X     28-5284     36009              5835
                                                               397,678      32,490       X   X 28-5284     22190             10300
                                                               621,645      50,788       X     28-12474    45248              5540
                                                                12,852       1,050       X   X 28-12474     1050
                                                                 1,102          90       X     28-4580        90
CAPITALSOURCE INC              COM            14055X102          3,660       3,000       X     28-5284      3000
                                                                 1,098         900       X   X 28-5284       900
CAPSTONE TURBINE CORP          COM            14067D102          1,195       1,660       X   X 28-5284      1660
CAPSTEAD MTG CORP              COM NO PAR     14067E506          5,370         500       X     28-5284                         500
   COLUMN TOTAL                                              5,423,434







                                                                                                                  FILE NO. 28-1235
PAGE  47 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
CARBO CERAMICS INC             COM            140781105          4,977         175       X     28-5284                         175
CARDICA INC                    COM            14141R101          2,910       1,000       X     28-5284      1000
CARDINAL HEALTH INC            COM            14149Y108      1,325,119      42,094       X     28-5284     39832              2262
                                                             1,138,254      36,158       X   X 28-5284     22862             13296
                                                               248,566       7,896       X     28-11135     7896
                                                                 1,228          39       X     28-4580        39
                                                                16,621         528       X   X 28-4580       528
CARDIONET INC                  COM            14159L103        114,204       4,070       X   X 28-5284      4070
CARDIOME PHARMA CORP           COM NEW        14159U202            586         200       X   X 28-5284       200
CAREER EDUCATION CORP          COM            141665109         59,421       2,480       X     28-5284      2360               120
CARLISLE COS INC               COM            142339100        261,707      13,332       X     28-5284     13332
                                                               117,780       6,000       X   X 28-5284                        6000
CARMAX INC                     COM            143130102          3,321         267       X     28-5284       267
                                                                 4,976         400       X   X 28-5284       400
CARNIVAL CORP                  DBCV  2.000% 4 143658AN2        184,500       2,000       X     28-5284      2000
CARNIVAL CORP                  PAIRED CTF     143658300        700,985      32,453       X     28-5284     30513              1940
                                                               873,785      40,453       X   X 28-5284     27955             12498
                                                                    22           1       X     28-12474        1
                                                                 2,052          95       X     28-4580        95
                                                                28,642       1,326       X   X 28-4580      1326
CARPENTER TECHNOLOGY CORP      COM            144285103      1,099,411      77,862       X     28-5284                       77862
                                                             4,030,102     285,418       X   X 28-5284    270618             14800
CARRIZO OIL & CO INC           COM            144577103            133          15       X     28-11135       15
CARTER INC                     COM            146229109          1,317          70       X     28-5284        70
                                                                 1,749          93       X   X 28-5284        93
CASCADE FINL CORP              COM            147272108        101,750      40,700       X     28-1500     40700
CASEYS GEN STORES INC          COM            147528103         16,529         620       X     28-5284       200               420
   COLUMN TOTAL                                             10,340,647







                                                                                                                  FILE NO. 28-1235
PAGE  48 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
CASH AMER INTL INC             COM            14754D100          5,090         325       X     28-5284        75               250
                                                                 1,096          70       X     28-11135       70
CASTLE A M & CO                COM            148411101          1,249         140       X     28-5284                         140
CATALYST HEALTH SOLUTIONS IN   COM            14888B103         15,856         800       X     28-5284       800
                                                                17,779         897       X   X 28-5284       897
CATAPULT COMMUNICATIONS CORP   COM            149016107            418          60       X     28-5284                          60
CATERPILLAR INC DEL            COM            149123101      4,375,600     156,495       X     28-5284    119136             37359
                                                             5,778,857     206,683       X   X 28-5284    179124       200   27359
                                                               141,366       5,056       X     28-11135     5056
                                                                50,160       1,794       X     28-4580      1794
                                                               216,019       7,726       X   X 28-4580      7726
CATO CORP NEW                  CL A           149205106          4,479         245       X     28-5284                         245
CBEYOND INC                    COM            149847105            584          31       X   X 28-5284        31
CEDAR FAIR L P                 DEPOSITRY UNIT 150185106        998,108     107,439       X     28-5284    107439
                                                                55,276       5,950       X   X 28-5284      3800       350    1800
CELANESE CORP DEL              COM SER A      150870103         32,823       2,455       X     28-5284      2455
                                                                 2,634         197       X   X 28-5284       197
                                                                 1,337         100       X     28-12474      100
CELL THERAPEUTICS INC          NOTE  4.000% 7 150934AF4     20,000,000   1,000,000       X   X 28-5284             1000000
CELERA CORP                    COM            15100E106          7,630       1,000       X     28-5284      1000
                                                                 3,052         400       X   X 28-5284       400
                                                                   305          40       X     28-4580        40
CELGENE CORP                   COM            151020104        520,812      11,730       X     28-5284     10250              1480
                                                             1,209,323      27,237       X   X 28-5284     27237
                                                               412,254       9,285       X     28-11135     9285
                                                                 8,880         200       X     28-4580       200
CEMEX SAB DE CV                SPON ADR NEW   151290889         44,569       7,131       X     28-5284      7131
                                                                 6,938       1,110       X   X 28-5284      1110
                                                                    63          10       X     28-11135       10
CENTENE CORP DEL               COM            15135B101          1,892         105       X     28-5284       105
   COLUMN TOTAL                                             33,914,449







                                                                                                                  FILE NO. 28-1235
PAGE  49 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
CENTERPOINT ENERGY INC         COM            15189T107        128,331      12,304       X     28-5284      9264              3040
                                                               159,266      15,270       X   X 28-5284     15270
CENTEX CORP                    COM            152312104         41,115       5,482       X     28-5284        42              5440
CENTRAIS ELETRICAS BRASILEIR   SPONSORED ADR  15234Q207         35,836       3,309       X     28-5284      3309
                                                                12,455       1,150       X   X 28-5284      1150
CENTRAL EUROPEAN DIST CORP     COM            153435102            452          42       X     28-5284        42
                                                                 3,594         334       X   X 28-5284       334
                                                               137,470      12,776       X     28-11135    12776
CENTRAL EUROPE AND RUSSIA FD   COM            153436100          8,088         529       X     28-5284       529
CENTRAL FD CDA LTD             CL A           153501101        660,964      55,450       X     28-5284     55450
                                                                23,840       2,000       X   X 28-5284      2000
                                                                11,920       1,000       X   X 28-4580      1000
CENTRAL GARDEN & PET CO        CL A NON-VTG   153527205          1,504         200       X     28-5284       200
CENTRAL GOLDTRUST              TR UNIT        153546106         15,033         350       X     28-5284       350
CENTRAL VT PUB SVC CORP        COM            155771108          1,557          90       X     28-5284                          90
                                                                 3,460         200       X   X 28-5284       200
CENTRAL VA BANKSHARES INC      COM            155792104          3,950       1,000       X     28-5284      1000
CENTURY ALUM CO                COM            156431108            844         400       X     28-5284                         400
CENTURY CASINOS INC            COM            156492100         77,478      49,986       X   X 28-5284               49986
CENTURYTEL INC                 COM            156700106         61,976       2,204       X     28-5284       614              1590
                                                                11,164         397       X   X 28-5284       197               200
                                                               584,896      20,800       X     28-11439    20800
CEPHALON INC                   COM            156708109        954,013      14,009       X     28-5284     10149              3860
                                                             1,323,115      19,429       X   X 28-5284     17224              2205
                                                                27,240         400       X     28-12474      400
                                                               211,382       3,104       X     28-11135     3104
   COLUMN TOTAL                                              4,500,943







                                                                                                                  FILE NO. 28-1235
PAGE  50 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
CERADYNE INC                   COM            156710105          5,439         300       X     28-5284       300
                                                                54,390       3,000       X   X 28-5284                        3000
CERNER CORP                    COM            156782104          5,408         123       X     28-5284       123
                                                                10,025         228       X   X 28-5284       228
CHAMPION ENTERPRISES INC       COM            158496109            283         590       X     28-5284                         590
                                                                 2,964       6,175       X   X 28-5284      6175
CHARLES RIV LABS INTL INC      COM            159864107         68,569       2,520       X     28-5284      2520
                                                               206,687       7,596       X   X 28-5284      1550              6046
                                                               117,193       4,307       X     28-11135     4307
CHARMING SHOPPES INC           COM            161133103             98          70       X     28-5284        70
CHART INDS INC                 COM PAR $0.01  16115Q308         14,641       1,858       X     28-11135     1858
CHARTER COMMUNICATIONS INC D   CL A           16117M107              2          76       X   X 28-5284        76
CHATTEM INC                    COM            162456107          7,118         127       X   X 28-5284       127
                                                               101,787       1,816       X     28-11135     1816
CHECKPOINT SYS INC             COM            162825103          2,960         330       X     28-5284                         330
                                                                   897         100       X     28-11135      100
CHEESECAKE FACTORY INC         COM            163072101          3,836         335       X     28-5284       335
CHEMED CORP NEW                COM            16359R103          7,780         200       X     28-5284       200
                                                                70,915       1,823       X   X 28-5284      1823
CHEMTURA CORP                  COM            163893100            230       4,800       X     28-5284      4800
                                                                    92       1,918       X   X 28-5284      1696               222
CHEROKEE INC DEL NEW           COM            16444H102          3,900         250       X     28-5284       250
CHESAPEAKE ENERGY CORP         NOTE  2.750%11 165167BW6        128,000       2,000       X     28-5284      2000
CHESAPEAKE ENERGY CORP         NOTE  2.250%12 165167CB1              0       2,000       X     28-5284      2000
CHESAPEAKE ENERGY CORP         COM            165167107        552,795      32,403       X     28-5284     28803              3600
                                                               908,957      53,280       X   X 28-5284     53080               200
                                                                 8,530         500       X     28-4580       500
                                                                 8,530         500       X   X 28-4580       500
   COLUMN TOTAL                                              2,292,026







                                                                                                                  FILE NO. 28-1235
PAGE  51 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
CHESAPEAKE UTILS CORP          COM            165303108          6,096         200       X     28-5284       200
                                                               207,264       6,800       X   X 28-5284      5600              1200
                                                                30,480       1,000       X     28-4580      1000
CHEVRON CORP NEW               COM            166764100    114,156,105   1,697,741       X     28-5284   1609361       515   87865
                                                           111,566,558   1,659,229       X   X 28-5284   1488391     29027  141811
                                                             9,050,504     134,600       X     28-12474   126083              8517
                                                             1,691,422      25,155       X   X 28-12474    23399              1756
                                                             1,614,970      24,018       X     28-11135    24018
                                                             2,659,880      39,558       X     28-4580     39558
                                                             1,977,259      29,406       X   X 28-4580     26382       944    2080
CHICAGO BRIDGE & IRON CO N V   N Y REGISTRY S 167250109         58,311       9,300       X     28-5284      9300
                                                               202,835      32,350       X   X 28-5284     13250             19100
CHICOS FAS INC                 COM            168615102         31,039       5,780       X     28-5284      5780
                                                                10,821       2,015       X   X 28-5284      2015
CHILDRENS PL RETAIL STORES I   COM            168905107         54,725       2,500       X     28-5284      2500
CHINA FD INC                   COM            169373107          6,260         401       X   X 28-5284       268               133
CHINA LIFE INS CO LTD          SPON ADR REP H 16939P106          2,068          42       X     28-5284        42
                                                                14,772         300       X   X 28-5284                         300
CHINA SOUTHN AIRLS LTD         SPON ADR CL H  169409109          1,426         147       X     28-5284       147
CHINA MOBILE LIMITED           SPONSORED ADR  16941M109         16,320         375       X     28-5284       375
                                                                71,808       1,650       X   X 28-5284       450              1200
                                                                27,983         643       X     28-11135      643
CHINA PETE & CHEM CORP         SPON ADR H SHS 16941R108          1,733          27       X     28-5284        27
                                                                13,027         203       X   X 28-5284       203
                                                               211,440       3,295       X     28-11135     3295
CHINA SEC & SURVE TECH INC     COM            16942J105         15,360       4,000       X   X 28-5284      4000
CHINA UNICOM (HONG KONG) LTD   SPONSORED ADR  16945R104            968          93       X     28-5284        93
                                                                10,504       1,009       X   X 28-5284      1009
                                                               272,503      26,177       X     28-11135    26177
CHINA MED TECHNOLOGIES INC     SPONSORED ADR  169483104          6,334         460       X     28-5284       460
                                                                11,016         800       X   X 28-5284       800
   COLUMN TOTAL                                            244,001,791







                                                                                                                  FILE NO. 28-1235
PAGE  52 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
CHIPOTLE MEXICAN GRILL INC     CL A           169656105         27,880         420       X     28-5284       420
                                                               130,769       1,970       X   X 28-5284      1220               750
CHIPOTLE MEXICAN GRILL INC     CL B           169656204         37,194         649       X     28-5284       449               200
                                                                   516           9       X   X 28-5284                           9
CHOICE HOTELS INTL INC         COM            169905106          2,582         100       X     28-5284                         100
                                                                38,730       1,500       X   X 28-4580      1500
CHIQUITA BRANDS INTL INC       COM            170032809          6,630       1,000       X   X 28-5284                        1000
CHRISTOPHER & BANKS CORP       COM            171046105          1,125         275       X     28-5284                         275
                                                                24,745       6,050       X   X 28-5284      6050
CHUBB CORP                     COM            171232101     30,788,350     727,513       X     28-5284    682901       330   44282
                                                            18,322,021     432,940       X   X 28-5284    384977      1660   46303
                                                            11,058,047     261,296       X     28-12474   242865             18431
                                                             2,610,890      61,694       X   X 28-12474    54820      1169    5705
                                                                 3,428          81       X     28-11135       81
                                                               710,003      16,777       X     28-4580     16537               240
                                                               243,679       5,758       X   X 28-4580      5758
CHUNGHWA TELECOM CO LTD        SPONS ADR NEW  17133Q403            201          11       X     28-11135       11
CHURCH & DWIGHT INC            COM            171340102         87,485       1,675       X     28-5284      1675
                                                             7,354,924     140,818       X   X 28-5284    140818
                                                             7,834,500     150,000       X     28-11439   150000
CHURCHILL DOWNS INC            COM            171484108      1,779,913      59,212       X     28-5284     59212
                                                               228,456       7,600       X   X 28-5284      7600
CIBER INC                      COM            17163B102          1,037         380       X     28-5284                         380
CIENA CORP                     COM NEW        171779309          5,586         718       X   X 28-5284       718
CIMAREX ENERGY CO              COM            171798101        506,681      27,567       X     28-5284     26522              1045
                                                                90,154       4,905       X   X 28-5284      1670       525    2710
                                                                   515          28       X     28-11135       28
                                                                22,240       1,210       X     28-4580      1210
CINCINNATI BELL INC NEW        COM            171871106         36,800      16,000       X     28-5284     16000
                                                                    74          32       X   X 28-5284        32
   COLUMN TOTAL                                             81,955,155







                                                                                                                  FILE NO. 28-1235
PAGE  53 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
CINCINNATI FINL CORP           COM            172062101     11,382,811     497,718       X     28-5284    345700            152018
                                                             1,078,321      47,150       X   X 28-5284     44950       200    2000
                                                                 2,058          90       X     28-11135       90
CIRCOR INTL INC                COM            17273K109         21,912         973       X     28-11135      973
CISCO SYS INC                  COM            17275R102     66,425,282   3,960,959       X     28-5284   3759558      1320  200081
                                                            47,587,256   2,837,642       X   X 28-5284   2495263     66960  275419
                                                            17,686,413   1,054,646       X     28-12474   976958             77688
                                                             4,488,541     267,653       X   X 28-12474   238516      6040   23097
                                                               196,092      11,693       X     28-11135    11693
                                                             1,679,046     100,122       X     28-4580     98822              1300
                                                               992,080      59,158       X   X 28-4580     59158
CIRRUS LOGIC INC               COM            172755100            752         200       X     28-4580       200
CINTAS CORP                    COM            172908105      1,165,499      47,148       X     28-5284     46140              1008
                                                               821,915      33,249       X   X 28-5284     31449              1800
CITIZENS & NORTHN CORP         COM            172922106        136,992       7,409       X     28-5284      7409
                                                               519,569      28,100       X   X 28-5284     28100
CITIGROUP INC                  COM            172967101      1,839,181     726,949       X     28-5284    573697      1500  151752
                                                             2,052,318     811,193       X   X 28-5284    755910     11115   44168
                                                               243,535      96,259       X     28-12474    87219              9040
                                                                 4,326       1,710       X   X 28-12474     1710
                                                                 1,313         519       X     28-11135      519
                                                                44,983      17,780       X     28-4580     17780
                                                                75,460      29,826       X   X 28-4580     29826
CITIZENS REPUBLIC BANCORP IN   COM            174420109         51,114      32,977       X     28-5284     32977
                                                                   281         181       X   X 28-5284       181
CITRIX SYS INC                 COM            177376100         57,800       2,553       X     28-5284      2553
                                                                42,088       1,859       X     28-11135     1859
CITY NATL CORP                 COM            178566105        481,223      14,250       X     28-5284     14150               100
                                                                 8,071         239       X   X 28-5284       239
   COLUMN TOTAL                                            159,086,232







                                                                                                                  FILE NO. 28-1235
PAGE  54 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
CLARCOR INC                    COM            179895107         10,832         430       X     28-5284                         430
                                                               238,046       9,450       X   X 28-5284      9450
CLARIENT INC                   COM            180489106        215,775      95,900       X     28-5284     95900
                                                                   225         100       X   X 28-5284       100
CLAUDE RES INC                 COM            182873109         14,750      25,000       X     28-5284     25000
CLAYMORE EXCHANGE TRADED FD    BNY BRI&C PTF  18383M100         39,672       1,686       X     28-5284      1686
CLAYMORE EXCHANGE TRADED FD    MAC GLOB SOLAR 18383M621         41,640       6,000       X     28-5284      6000
                                                                10,424       1,502       X   X 28-5284      1502
CLAYMORE ETF TRUST 2           S&P GBL WATER  18383Q507          7,302         600       X     28-5284       600
CLAYMORE ETF TRUST 2           SWM CDN ENERGY 18383Q606          3,709         380       X   X 28-5284       380
CLAYMORE/GUGGENHEIM STR OPP    COM SBI        18385X104         14,010       1,500       X   X 28-5284      1500
CLEAN HARBORS INC              COM            184496107          4,800         100       X   X 28-5284                         100
CLEAN ENERGY FUELS CORP        COM            184499101          6,699       1,100       X   X 28-5284      1100
CLEAR CHANNEL OUTDOOR HLDGS    CL A           18451C109          1,226         334       X     28-5284       334
CLEARWATER PAPER CORP          COM            18538R103            915         114       X   X 28-5284       114
CLIFFS NATURAL RESOURCES INC   COM            18683K101         18,705       1,030       X     28-5284       850               180
                                                                54,843       3,020       X   X 28-5284      3020
                                                               106,835       5,883       X     28-11135     5883
CLOROX CO DEL                  COM            189054109     14,760,191     286,717       X     28-5284    267712             19005
                                                             6,142,748     119,323       X   X 28-5284    109567      1360    8396
                                                             9,675,820     187,953       X     28-12474   174968             12985
                                                             2,197,269      42,682       X   X 28-12474    38358       869    3455
                                                               556,756      10,815       X     28-4580     10675               140
                                                               141,827       2,755       X   X 28-4580      2755
CLOUGH GLOBAL ALLOCATION FUN   COM SHS BEN IN 18913Y103         16,020       1,500       X     28-5284      1500
CLOUGH GLOBAL OPPORTUNITIES    SH BEN INT     18914E106         12,420       1,350       X     28-5284      1350
   COLUMN TOTAL                                             34,293,459







                                                                                                                  FILE NO. 28-1235
PAGE  55 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
COACH INC                      COM            189754104      1,407,894      84,305       X     28-5284     81805              2500
                                                             1,643,764      98,429       X   X 28-5284     97829               600
                                                                   351          21       X   X 28-12474       21
                                                               349,431      20,924       X     28-11135    20924
COCA COLA CO                   COM            191216100     83,962,256   1,910,404       X     28-5284   1815988       370   94046
                                                            78,517,862   1,786,527       X   X 28-5284   1635639     30433  120455
                                                            12,829,576     291,913       X     28-12474   271980             19933
                                                             3,432,891      78,109       X   X 28-12474    69625      1688    6796
                                                                41,928         954       X     28-11135      954
                                                             2,494,031      56,747       X     28-4580     56494               253
                                                             2,478,824      56,401       X   X 28-4580     55726       675
COCA COLA ENTERPRISES INC      COM            191219104         24,072       1,825       X     28-5284      1825
                                                                20,220       1,533       X   X 28-5284      1533
                                                                 2,295         174       X     28-11135      174
COCA COLA FEMSA S A B DE C V   SPON ADR REP L 191241108        225,852       6,631       X     28-11135     6631
CODORUS VY BANCORP INC         COM            192025104          2,716         337       X     28-5284                         337
                                                               233,998      29,032       X   X 28-5284     29032
COEUR D ALENE MINES CORP IDA   COM            192108108          4,700       5,000       X     28-5284      5000
                                                                   940       1,000       X   X 28-5284                        1000
COGNEX CORP                    COM            192422103          4,669         350       X     28-5284                         350
                                                               242,148      18,152       X     28-11135    18152
COGNIZANT TECHNOLOGY SOLUTIO   CL A           192446102        223,389      10,745       X     28-5284     10745
                                                               322,328      15,504       X   X 28-5284     15504
                                                                 9,979         480       X     28-12474      480
                                                                   353          17       X   X 28-12474       17
                                                                29,293       1,409       X     28-11135     1409
                                                                12,474         600       X     28-4580       600
COHEN & STEERS INC             COM            19247A100         11,160       1,000       X     28-5284      1000
COHEN & STEERS QUALITY RLTY    COM            19247L106          4,326       2,152       X     28-5284      2152
COHEN & STEERS TOTAL RETURN    COM            19247R103         32,604       6,000       X     28-5284      6000
COHEN & STEERS PREM INC RLTY   COM            19247V104          1,880       1,000       X     28-5284      1000
   COLUMN TOTAL                                            188,568,204







                                                                                                                  FILE NO. 28-1235
PAGE  56 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
COHEN & STEERS ADV INC RLTY    COM            19247W102         12,432       6,247       X     28-5284      6247
COHEN & STEERS REIT & PFD IN   COM            19247X100          4,782       1,265       X     28-5284      1265
COHEN & STEERS REIT & UTIL I   COM            19247Y108         14,982       3,476       X   X 28-5284      3476
COHERENT INC                   COM            192479103         18,716       1,085       X     28-5284      1085
COHEN & STEERS SELECT UTIL F   COM            19248A109         14,416       1,600       X   X 28-5284      1600
COHEN & STEERS CLOSED END OP   COM            19248P106         31,895       3,866       X   X 28-5284      3866
COHU INC                       COM            192576106          1,368         190       X     28-5284                         190
COLDWATER CREEK INC            COM            193068103         46,079      18,358       X     28-5284     18358
                                                                38,152      15,200       X   X 28-5284     15200
                                                               125,086      49,835       X     28-12474    40205              9630
                                                                 4,568       1,820       X   X 28-12474     1820
COLGATE PALMOLIVE CO           COM            194162103     48,528,213     822,791       X     28-5284    795567       410   26814
                                                            33,586,220     569,451       X   X 28-5284    535723      5973   27755
                                                            15,203,746     257,778       X     28-12474   238151             19627
                                                             4,257,589      72,187       X   X 28-12474    63315      1834    7038
                                                                26,954         457       X     28-11135      457
                                                             1,308,648      22,188       X     28-4580     21898               290
                                                               672,962      11,410       X   X 28-4580     11410
COLLECTIVE BRANDS INC          COM            19421W100         34,129       3,504       X   X 28-5284      3504
COLONIAL BANCGROUP INC         COM            195493309         25,115      27,906       X     28-5284     27906
                                                                98,100     109,000       X   X 28-5284      5000            104000
                                                                    94         104       X     28-11135      104
COLONIAL PPTYS TR              COM SH BEN INT 195872106          1,600         420       X     28-5284                         420
                                                                 2,054         539       X   X 28-5284       539
                                                                32,195       8,450       X   X 28-12474     8450
COLUMBUS ACQUISITION CORP      *W EXP 05/18/2 198851115             20       1,000       X   X 28-5284      1000
COLUMBUS MCKINNON CORP N Y     COM            199333105            889         102       X   X 28-5284       102
                                                                   253          29       X     28-11135       29
   COLUMN TOTAL                                            104,091,257







                                                                                                                  FILE NO. 28-1235
PAGE  57 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
COMCAST CORP NEW               CL A           20030N101      4,779,824     350,427       X     28-5284    330481             19946
                                                             4,574,256     335,356       X   X 28-5284    283235      6145   45976
                                                               641,435      47,026       X     28-12474    39783              7243
                                                               135,704       9,949       X   X 28-12474     9408               541
                                                                 1,882         138       X     28-11135      138
                                                                46,785       3,430       X     28-4580      3430
                                                                 7,898         579       X   X 28-4580       579
COMCAST CORP NEW               CL A SPL       20030N200     32,896,209   2,556,038       X     28-5284   2509388             46650
                                                             1,137,554      88,388       X   X 28-5284     46438      4550   37400
                                                                13,256       1,030       X     28-11135     1030
                                                                 4,646         361       X   X 28-4580       361
COMERICA INC                   COM            200340107        235,723      12,874       X     28-5284      5432              7442
                                                                61,522       3,360       X   X 28-5284      3110               250
                                                               128,683       7,028       X     28-11135     7028
COMM BANCORP INC               COM            200468106        547,248      15,600       X     28-5284     15600
COMMERCE BANCSHARES INC        COM            200525103          2,033          56       X     28-5284        56
                                                                39,349       1,084       X   X 28-5284      1084
COMMERCEFIRST BANCORP INC      COM            200845105         13,000       2,500       X   X 28-5284      2500
COMMERCIAL METALS CO           COM            201723103         11,180         968       X     28-5284       968
                                                                33,599       2,909       X   X 28-5284      2909
COMMERICAL NATL FINL CORP PA   COM            202217105          2,174         150       X   X 28-5284       150
COMMSCOPE INC                  COM            203372107         68,955       6,070       X     28-5284      6069                 1
COMMUNITY BK SYS INC           COM            203607106        101,639       6,068       X     28-5284      6068
                                                                17,487       1,044       X   X 28-5284      1044
COMMUNITY HEALTH SYS INC NEW   COM            203668108          1,918         125       X     28-5284       125
COMMUNITY TR BANCORP INC       COM            204149108         12,706         475       X     28-5284       475
CGG VERITAS                    SPONSORED ADR  204386106         26,646       2,309       X     28-5284      2309
                                                                51,376       4,452       X   X 28-5284      4452
   COLUMN TOTAL                                             45,594,687







                                                                                                                  FILE NO. 28-1235
PAGE  58 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
COMPANHIA SIDERURGICA NACION   SPONSORED ADR  20440W105          1,336          90       X     28-5284        90
                                                                33,390       2,250       X   X 28-5284      2250
COMPANHIA VALE DO RIO DOCE     SPON ADR PFD   204412100            846          75       X     28-5284        75
COMPANHIA VALE DO RIO DOCE     SPONSORED ADR  204412209         84,694       6,368       X     28-5284      6368
                                                               165,984      12,480       X   X 28-5284     12480
                                                                 5,320         400       X   X 28-4580       400
COMPANIA DE MINAS BUENAVENTU   SPONSORED ADR  204448104          4,796         200       X     28-5284       200
COMPASS MINERALS INTL INC      COM            20451N101         62,007       1,100       X     28-5284      1100
                                                                21,139         375       X   X 28-5284       375
COMPASS DIVERSIFIED HOLDINGS   SH BEN INT     20451Q104         16,948       1,900       X     28-5284      1900
COMPELLENT TECHNOLOGIES INC    COM            20452A108            543          50       X     28-5284        50
COMPUTER ASSOC INTL INC        NOTE  1.625%12 204912AQ2        211,250       2,000       X     28-5284      2000
COMPUTER SCIENCES CORP         COM            205363104        384,315      10,432       X     28-5284       240             10192
                                                                23,099         627       X   X 28-5284       627
                                                               161,175       4,375       X     28-11135     4375
COMPX INTERNATIONAL INC        CL A           20563P101            284          50       X     28-5284        50
COMPUWARE CORP                 COM            205638109          3,822         580       X     28-5284                         580
COMSTOCK RES INC               COM NEW        205768203            387          13       X   X 28-5284        13
                                                                 6,407         215       X     28-11135      215
COMTECH TELECOMMUNICATIONS C   COM NEW        205826209          9,165         370       X     28-5284       370
                                                                   520          21       X   X 28-5284        21
                                                                56,599       2,285       X     28-11135     2285
CONAGRA FOODS INC              COM            205887102      1,847,231     109,498       X     28-5284     99078             10420
                                                               882,183      52,293       X   X 28-5284     47341       687    4265
                                                                 2,244         133       X     28-12474      133
                                                                   945          56       X     28-11135       56
                                                                36,237       2,148       X     28-4580      2148
                                                                12,653         750       X   X 28-4580       750
CON-WAY INC                    COM            205944101          6,276         350       X     28-5284       350
   COLUMN TOTAL                                              4,041,795







                                                                                                                  FILE NO. 28-1235
PAGE  59 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
CONCHO RES INC                 COM            20605P101          6,270         245       X   X 28-5284       245
CONEXANT SYSTEMS INC           COM NEW        207142308          2,210       3,400       X     28-5284      3400
                                                                    61          94       X   X 28-5284        94
CONMED CORP                    COM            207410101          3,458         240       X     28-5284                         240
                                                                 8,862         615       X   X 28-5284       615
CONOCOPHILLIPS                 COM            20825C104     22,385,070     571,631       X     28-5284    529008       350   42273
                                                            17,107,986     436,874       X   X 28-5284    386669     26023   24182
                                                             1,635,557      41,766       X     28-12474    38204              3562
                                                               291,546       7,445       X   X 28-12474     7017               428
                                                               922,531      23,558       X     28-11135    23558
                                                             7,250,905     185,161       X     28-4580    185161
                                                             5,513,806     140,802       X   X 28-4580    139033       354    1415
CONSECO INC                    COM NEW        208464883         20,258      22,020       X   X 28-5284               22020
CONSOL ENERGY INC              COM            20854P109        258,281      10,233       X     28-5284      9293               940
                                                               548,718      21,740       X   X 28-5284     11840              9900
CONSOLIDATED COMM HLDGS INC    COM            209034107         47,514       4,631       X     28-5284      4631
                                                                 4,104         400       X   X 28-5284       400
CONSOLIDATED EDISON INC        COM            209115104      5,381,019     135,850       X     28-5284    133870       300    1680
                                                             6,054,230     152,846       X   X 28-5284    145376       250    7220
                                                               381,563       9,633       X     28-12474     8830               803
                                                               147,389       3,721       X   X 28-12474     3495               226
                                                               206,883       5,223       X     28-4580      5223
                                                               192,227       4,853       X   X 28-4580      4853
CONSOLIDATED GRAPHICS INC      COM            209341106          1,272         100       X     28-5284                         100
CONSOLIDATED TOMOKA LD CO      COM            210226106        189,041       6,365       X   X 28-5284                2000    4365
CONSTELLATION BRANDS INC       CL A           21036P108         27,656       2,324       X     28-5284      2324
                                                                19,040       1,600       X   X 28-5284      1600
                                                               252,209      21,194       X     28-11135    21194
CONSTELLATION BRANDS INC       CL B           21036P207         10,618         896       X     28-5284       896
   COLUMN TOTAL                                             68,870,284







                                                                                                                  FILE NO. 28-1235
PAGE  60 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
CONSTELLATION ENERGY GROUP I   COM            210371100      1,803,308      87,285       X     28-5284     84694              2591
                                                             2,441,454     118,173       X   X 28-5284     99460       825   17888
                                                                   826          40       X     28-11135       40
                                                                 8,264         400       X     28-4580       400
CONSTELLATION ENERGY PRTNR L   COM UNIT LLC B 21038E101          1,570       1,000       X   X 28-5284                        1000
CONSUMER PORTFOLIO SVCS INC    COM            210502100         15,000      30,000       X   X 28-5284     30000
CONTANGO OIL & GAS COMPANY     COM NEW        21075N204        101,920       2,600       X   X 28-5284       240              2360
CONTINENTAL AIRLS INC          CL B           210795308          1,322         150       X     28-5284       150
                                                                36,121       4,100       X   X 28-5284      4100
CONTINENTAL RESOURCES INC      COM            212015101          9,545         450       X   X 28-5284       450
                                                               239,652      11,299       X     28-11135    11299
CONTINUCARE CORP               COM            212172100            189         100       X   X 28-5284       100
CONVERGYS CORP                 COM            212485106      1,198,159     148,287       X     28-5284     35924            112363
                                                               281,022      34,780       X   X 28-5284     33280              1500
COOPER COS INC                 COM NEW        216648402         23,532         890       X     28-5284       500               390
                                                                   291          11       X     28-11135       11
COOPER TIRE & RUBR CO          COM            216831107         91,102      22,550       X     28-5284     22550
COPART INC                     COM            217204106         69,404       2,340       X     28-5284      2340
CORINTHIAN COLLEGES INC        COM            218868107         43,763       2,250       X     28-5284      2250
                                                               134,205       6,900       X   X 28-5284      6900
CORN PRODS INTL INC            COM            219023108         97,690       4,608       X     28-5284      3760               848
                                                               616,772      29,093       X   X 28-5284     26493              2600
CORNING INC                    COM            219350105      3,387,234     255,255       X     28-5284    246740              8515
                                                             3,755,622     283,016       X   X 28-5284    245106      1125   36785
                                                                 2,243         169       X     28-11135      169
                                                                30,017       2,262       X     28-4580      2262
                                                                51,249       3,862       X   X 28-4580      3862
CORPORATE EXECUTIVE BRD CO     COM            21988R102         11,020         760       X     28-5284                         760
   COLUMN TOTAL                                             14,452,496







                                                                                                                  FILE NO. 28-1235
PAGE  61 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
CORPORATE OFFICE PPTYS TR      SH BEN INT     22002T108        186,225       7,500       X     28-5284      1250              6250
                                                               322,666      12,995       X   X 28-5284     11100              1895
                                                               956,203      38,510       X     28-12474    38510
                                                                24,085         970       X   X 28-12474      970
                                                                33,521       1,350       X     28-4580      1350
                                                                 9,932         400       X   X 28-4580       400
CORRECTIONS CORP AMER NEW      COM NEW        22025Y407          5,022         392       X     28-5284       392
                                                                 2,562         200       X   X 28-5284       200
COSTCO WHSL CORP NEW           COM            22160K105      3,653,583      78,877       X     28-5284     66157             12720
                                                             3,429,394      74,037       X   X 28-5284     52070             21967
                                                                16,814         363       X     28-11135      363
COSTAR GROUP INC               COM            22160N109         26,923         890       X     28-5284                         890
                                                                13,613         450       X   X 28-5284       450
COTT CORP QUE                  COM            22163N106          1,653       1,665       X     28-5284      1665
COUSINS PPTYS INC              COM            222795106          2,576         400       X   X 28-5284                         400
COVANCE INC                    COM            222816100        775,131      21,755       X     28-5284     21755
                                                               621,601      17,446       X   X 28-5284     16446              1000
                                                                   463          13       X   X 28-12474       13
                                                                93,386       2,621       X     28-11135     2621
COVANTA HLDG CORP              COM            22282E102         59,442       4,541       X   X 28-5284      4541
COVENTRY HEALTH CARE INC       COM            222862104        131,755      10,182       X     28-5284     10182
                                                                 6,483         501       X   X 28-5284       301               200
                                                               477,822      36,926       X     28-12474    33316              3610
                                                                 8,799         680       X   X 28-12474      680
COX RADIO INC                  CL A           224051102             41          10       X     28-5284        10
CRACKER BARREL OLD CTRY STOR   COM            22410J106          1,432          50       X     28-11135       50
CRANE CO                       COM            224399105          3,038         180       X     28-5284                         180
                                                                50,640       3,000       X   X 28-5284      3000
   COLUMN TOTAL                                             10,914,805







                                                                                                                  FILE NO. 28-1235
PAGE  62 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
CREDIT SUISSE ASSET MGMT INC   COM            224916106         67,784      29,861       X     28-5284     29861
CREDIT SUISSE GROUP            SPONSORED ADR  225401108         50,065       1,642       X     28-5284      1642
                                                                10,489         344       X   X 28-5284       344
                                                                 1,646          54       X     28-11135       54
                                                                 2,897          95       X     28-4580        95
CREE INC                       COM            225447101         60,354       2,565       X     28-5284      2565
                                                                68,237       2,900       X   X 28-5284      2900
                                                               325,232      13,822       X     28-11135    13822
CRESCENT FINL CORP             COM            225744101          9,518       2,644       X   X 28-5284                        2644
CROCS INC                      COM            227046109          1,190       1,000       X     28-5284      1000
                                                                15,696      13,190       X   X 28-5284     13190
CROSS TIMBERS RTY TR           TR UNIT        22757R109          5,457         300       X     28-5284       300
                                                                27,285       1,500       X   X 28-5284      1500
CROSSTEX ENERGY L P            COM            22765U102          1,900       1,000       X     28-5284      1000
                                                                   380         200       X   X 28-5284       200
CROSSTEX ENERGY INC            COM            22765Y104         16,400      10,000       X     28-5284     10000
                                                                 1,312         800       X   X 28-5284       800
CROWN CASTLE INTL CORP         COM            228227104        140,421       6,880       X     28-5284      6680               200
                                                                 5,613         275       X   X 28-5284       275
CROWN HOLDINGS INC             COM            228368106        208,207       9,160       X     28-5284      9160
                                                                24,935       1,097       X   X 28-5284      1097
CRYOLIFE INC                   COM            228903100          1,088         210       X     28-5284                         210
CRYSTALLEX INTL CORP           COM            22942F101            260       1,000       X     28-5284      1000
CUBIC CORP                     COM            229669106          5,066         200       X     28-5284       200
CUBIST PHARMACEUTICALS INC     COM            229678107          8,180         500       X     28-5284       500
                                                                27,092       1,656       X     28-11135     1656
   COLUMN TOTAL                                              1,086,704







                                                                                                                  FILE NO. 28-1235
PAGE  63 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
CULLEN FROST BANKERS INC       COM            229899109        792,019      16,873       X     28-5284     15593              1280
                                                               203,626       4,338       X   X 28-5284      3138              1200
                                                             2,886,622      61,496       X     28-12474    57760              3736
                                                               483,998      10,311       X   X 28-12474     9583               728
                                                                 2,816          60       X     28-11135       60
                                                               187,760       4,000       X   X 28-4580      4000
CUMMINS INC                    COM            231021106      2,345,956      92,179       X     28-5284     91319               860
                                                             1,182,356      46,458       X   X 28-5284     43618       700    2140
                                                               251,879       9,897       X     28-11135     9897
                                                                 2,545         100       X   X 28-4580       100
CUMULUS MEDIA INC              CL A           231082108            227         225       X     28-5284       225
CURRENCYSHARES AUSTRALIAN DL   AUSTRALIAN DOL 23129U101        195,104       2,800       X     28-5284      2800
CURRENCYSHARES SWISS FRANC T   SWISS FRANC SH 23129V109         35,088         400       X     28-5284       400
CURRENCYSHS JAPANESE YEN TR    JAPANESE YEN   23130A102         30,156         300       X     28-5284       300
CURRENCYSHARES EURO TR         EURO SHS       23130C108         13,287         100       X     28-5284       100
                                                                42,518         320       X   X 28-5284       220               100
CURTISS WRIGHT CORP            COM            231561101         10,659         380       X     28-5284                         380
                                                                42,075       1,500       X   X 28-5284                        1500
CUTERA INC                     COM            232109108            351          55       X     28-5284        55
CYBERSOURCE CORP               COM            23251J106            741          50       X   X 28-5284        50
CYBEROPTICS CORP               COM            232517102        128,362      26,143       X     28-11135    26143
CYMER INC                      COM            232572107          5,788         260       X     28-5284                         260
                                                                 8,904         400       X   X 28-5284       400
CYPRESS SEMICONDUCTOR CORP     COM            232806109          6,093         900       X     28-5284       900
                                                                40,620       6,000       X   X 28-5284      6000
CYTEC INDS INC                 COM            232820100          3,545         236       X     28-5284       236
                                                                18,835       1,254       X   X 28-5284      1155                99
D & E COMMUNICATIONS INC       COM            232860106        755,736     140,733       X     28-5284    140733
                                                                28,461       5,300       X   X 28-5284      5300
   COLUMN TOTAL                                              9,706,127







                                                                                                                  FILE NO. 28-1235
PAGE  64 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
DCP MIDSTREAM PARTNERS LP      COM UT LTD PTN 23311P100         37,339       2,650       X     28-5284      2650
DCT INDUSTRIAL TRUST INC       COM            233153105         36,227      11,428       X     28-5284     11428
                                                                    48          15       X   X 28-5284        15
DDI CORP                       COM 0.0001 NEW 233162502      5,390,764   1,750,248       X   X 28-5284             1750248
DNP SELECT INCOME FD           COM            23325P104         63,750       9,375       X     28-5284      9375
                                                               115,600      17,000       X   X 28-5284     17000
DPL INC                        COM            233293109        409,101      18,150       X     28-5284     17070              1080
                                                               455,759      20,220       X   X 28-5284     19503               717
D R HORTON INC                 COM            23331A109        331,430      34,168       X     28-5284     17050             17118
DST SYS INC DEL                DBCV  4.125% 8 233326AB3        195,000       2,000       X     28-5284      2000
DST SYS INC DEL                COM            233326107         53,661       1,550       X     28-5284      1550
                                                                14,887         430       X   X 28-4580       430
DTE ENERGY CO                  COM            233331107        124,041       4,478       X     28-5284      3336              1142
                                                                80,192       2,895       X   X 28-5284      2770               125
                                                                11,717         423       X   X 28-4580       423
DTF TAX-FREE INCOME INC        COM            23334J107         24,705       2,030       X   X 28-5284      2030
DSW INC                        CL A           23334L102          2,787         300       X   X 28-5284       300
DWS HIGH INCOME TR             SHS            23337C109          9,114       3,100       X   X 28-5284                        3100
DXP ENTERPRISES INC NEW        COM NEW        233377407         20,660       2,000       X     28-5284      2000
DWS MULTI MKT INCOME TR        SHS            23338L108          8,083       1,325       X   X 28-5284      1325
DWS MUN INCOME TR              COM            23338M106         15,068       1,636       X     28-5284      1636
DWS RREEF REAL ESTATE FD II    COM            23338X102          1,226       2,850       X     28-5284      2850
                                                                29,861      69,444       X   X 28-5284     69444
DAKTRONICS INC                 COM            234264109         38,645       5,900       X     28-5284      3450              2450
                                                                73,360      11,200       X   X 28-5284      1775              9425
                                                                69,482      10,608       X     28-11135    10608
   COLUMN TOTAL                                              7,612,507







                                                                                                                  FILE NO. 28-1235
PAGE  65 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
DANAHER CORP DEL               COM            235851102      2,681,559      49,457       X     28-5284     46112              3345
                                                             2,403,410      44,327       X   X 28-5284     37502              6825
                                                                84,583       1,560       X     28-12474      690               870
                                                                 9,217         170       X   X 28-12474      170
                                                               268,335       4,949       X     28-11135     4949
                                                                10,844         200       X     28-4580       200
DARDEN RESTAURANTS INC         COM            237194105      1,945,625      56,790       X     28-5284     55930               860
                                                               396,628      11,577       X   X 28-5284     10320              1257
                                                                 4,796         140       X     28-11135      140
DARLING INTL INC               COM            237266101            657         177       X   X 28-5284       177
                                                                   586         158       X     28-11135      158
DAWSON GEOPHYSICAL CO          COM            239359102          3,105         230       X     28-5284       230
DAXOR CORP                     COM            239467103          6,240         400       X     28-5284       400
DAYSTAR TECHNOLOGIES INC       COM            23962Q100        132,330     120,300       X   X 28-5284      1000    119300
DEALERTRACK HLDGS INC          COM            242309102          1,913         146       X   X 28-5284       146
DEAN FOODS CO NEW              COM            242370104         84,253       4,660       X     28-5284      4660
                                                               173,206       9,580       X   X 28-5284      9580
DECKERS OUTDOOR CORP           COM            243537107            477           9       X   X 28-5284         9
DEERE & CO                     COM            244199105      1,780,831      54,178       X     28-5284     51808              2370
                                                             2,239,630      68,136       X   X 28-5284     55936             12200
                                                                50,916       1,549       X     28-11135     1549
                                                                12,162         370       X     28-4580       370
DEFINED STRATEGY FD INC        COM            24476Y100          2,302         299       X     28-5284       299
DEL MONTE FOODS CO             COM            24522P103        109,219      14,982       X     28-5284     12947              2035
                                                               322,808      44,281       X   X 28-5284     41920              2361
                                                                14,646       2,009       X     28-4580      2009
                                                                 2,435         334       X   X 28-4580       334
   COLUMN TOTAL                                             12,742,713







                                                                                                                  FILE NO. 28-1235
PAGE  66 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
DELL INC                       COM            24702R101      2,150,737     226,871       X     28-5284    207846             19025
                                                             1,819,079     191,886       X   X 28-5284    177796      5599    8491
                                                               330,094      34,820       X     28-12474    34820
                                                                   284          30       X   X 28-12474       30
                                                                91,814       9,685       X     28-11135     9685
                                                                 1,896         200       X     28-4580       200
                                                                10,428       1,100       X   X 28-4580      1100
DELPHI FINL GROUP INC          CL A           247131105          4,711         350       X     28-5284                         350
                                                                 4,038         300       X   X 28-5284                         300
DELTA AIR LINES INC DEL        COM NEW        247361702          1,644         292       X     28-5284       291                 1
                                                                26,517       4,710       X   X 28-5284       492      4218
DELTA NAT GAS INC              COM            247748106         12,846         600       X     28-5284       600
                                                                 7,494         350       X   X 28-5284       350
DELTIC TIMBER CORP             COM            247850100          3,941         100       X     28-5284                         100
DELTA PETE CORP                COM NEW        247907207         17,028      14,190       X     28-5284     14190
                                                               244,512     203,760       X   X 28-5284    203760
DENBURY RES INC                COM NEW        247916208         11,710         788       X     28-5284       788
                                                               115,908       7,800       X   X 28-5284      7800
DELUXE CORP                    COM            248019101          2,889         300       X     28-5284       300
                                                                   963         100       X   X 28-5284       100
DENISON MINES CORP             COM            248356107          1,998       2,775       X     28-5284      2775
                                                                 1,080       1,500       X   X 28-5284      1500
DENTSPLY INTL INC NEW          COM            249030107      1,271,374      47,351       X     28-5284     47151               200
                                                             2,072,041      77,171       X   X 28-5284     75861              1310
                                                             1,345,561      50,114       X     28-12474    48670              1444
                                                               207,040       7,711       X   X 28-12474     7711
                                                                23,091         860       X   X 28-4580       860
DESTINATION MATERNITY CORP     COM            25065D100        189,313      30,002       X     28-5284     30002
DEUTSCHE BK AG LDN BRH         PS GOLD SH ETN 25154H731         49,480       2,000       X     28-5284      2000
DEUTSCHE BK AG LDN BRH         PS GOLD DL ETN 25154H749         45,448       2,300       X     28-5284      2300
                                                                25,688       1,300       X   X 28-5284      1000               300
   COLUMN TOTAL                                             10,090,647







                                                                                                                  FILE NO. 28-1235
PAGE  67 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
DEUTSCHE TELEKOM AG            SPONSORED ADR  251566105         34,037       2,756       X     28-5284      2756
                                                               925,941      74,975       X   X 28-5284     74975
                                                                 3,717         301       X     28-12474      301
                                                                82,214       6,657       X     28-11135     6657
                                                                 1,309         106       X     28-4580       106
DEVELOPERS DIVERSIFIED RLTY    COM            251591103          3,174       1,490       X     28-5284      1490
                                                                 6,130       2,878       X   X 28-5284      2878
                                                               265,796     124,787       X     28-12474   124787
                                                                 7,146       3,355       X   X 28-12474     3355
DEVON ENERGY CORP NEW          COM            25179M103      4,795,192     107,299       X     28-5284     98109              9190
                                                             2,739,318      61,296       X   X 28-5284     52105      1135    8056
                                                                79,369       1,776       X     28-11135     1776
                                                               188,056       4,208       X     28-4580      4118                90
                                                               139,120       3,113       X   X 28-4580      3113
DEVRY INC DEL                  COM            251893103         43,169         896       X     28-5284       183               713
                                                               584,086      12,123       X   X 28-5284      6523              5600
                                                                12,286         255       X     28-11135      255
DIAGEO P L C                   SPON ADR NEW   25243Q205      1,167,035      26,079       X     28-5284     24174              1905
                                                             1,269,737      28,374       X   X 28-5284     20424        75    7875
                                                                96,257       2,151       X     28-11135     2151
                                                                33,563         750       X     28-4580       750
                                                               223,750       5,000       X   X 28-4580      5000
DIAMOND FOODS INC              COM            252603105         57,089       2,044       X   X 28-5284        44              2000
DIAMOND OFFSHORE DRILLING IN   COM            25271C102        951,198      15,132       X     28-5284     14932               200
                                                             1,241,862      19,756       X   X 28-5284     15346              4410
                                                                 4,715          75       X     28-4580        75
DIAMONDROCK HOSPITALITY CO     COM            252784301            108          27       X   X 28-5284        27
DIAMONDS TR                    UNIT SER 1     252787106     11,362,425     149,821       X     28-5284    146276              3545
                                                             5,427,717      71,568       X   X 28-5284     69850              1718
                                                               177,238       2,337       X     28-4580      2337
DICKS SPORTING GOODS INC       COM            253393102        113,518       7,955       X     28-5284      7955
                                                                83,908       5,880       X   X 28-5284      5880
   COLUMN TOTAL                                             32,120,180







                                                                                                                  FILE NO. 28-1235
PAGE  68 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
DIEBOLD INC                    COM            253651103         25,620       1,200       X     28-5284      1000               200
                                                                21,350       1,000       X   X 28-5284      1000
                                                                 3,203         150       X   X 28-4580       150
DIGI INTL INC                  COM            253798102          1,381         180       X     28-5284                         180
DIGIMARC CORP NEW              COM            25381B101          2,702         278       X     28-5284       278
DIGITAL RLTY TR INC            COM            253868103          8,627         260       X     28-5284                         260
                                                                17,055         514       X   X 28-5284       514
                                                             1,133,761      34,170       X     28-12474    34170
                                                                28,535         860       X   X 28-12474      860
DIME CMNTY BANCSHARES          COM            253922108          1,782         190       X     28-5284                         190
DIODES INC                     COM            254543101          2,631         248       X   X 28-5284       248
                                                                 1,008          95       X     28-11135       95
DIONEX CORP                    COM            254546104          7,560         160       X     28-5284                         160
                                                               227,320       4,811       X   X 28-5284      4811
DIRECTV GROUP INC              COM            25459L106        395,520      17,355       X     28-5284     15305              2050
                                                               218,055       9,568       X   X 28-5284      9409               159
                                                                25,981       1,140       X     28-12474      310               830
                                                                 3,419         150       X   X 28-12474      150
                                                               691,130      30,326       X     28-11135    30326
                                                                 5,629         247       X     28-4580       247
                                                                 4,216         185       X   X 28-4580       185
DISCOVERY LABORATORIES INC N   COM            254668106         18,300      15,000       X     28-5284     15000
                                                                12,566      10,300       X   X 28-5284     10300
DISNEY WALT CO                 COM DISNEY     254687106     17,821,389     981,354       X     28-5284    931154             50200
                                                            22,116,156   1,217,850       X   X 28-5284   1111552      9250   97048
                                                                35,866       1,975       X     28-12474      885              1090
                                                                 4,213         232       X   X 28-12474      232
                                                               198,979      10,957       X     28-11135    10957
                                                               238,532      13,135       X     28-4580     13135
                                                               257,872      14,200       X   X 28-4580     14200
DISCOVERY COMMUNICATNS NEW     COM SER A      25470F104        154,641       9,653       X     28-5284      2378              7275
                                                               623,611      38,927       X   X 28-5284     38927
   COLUMN TOTAL                                             44,308,610







                                                                                                                  FILE NO. 28-1235
PAGE  69 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
DISCOVERY COMMUNICATNS NEW     COM SER C      25470F302        337,360      23,028       X     28-5284      8953             14075
                                                               701,691      47,897       X   X 28-5284     35277             12620
DISH NETWORK CORP              CL A           25470M109          1,478         133       X     28-5284       133
                                                                80,881       7,280       X     28-12474     7280
                                                                 2,333         210       X   X 28-4580       210
DISCOVER FINL SVCS             COM            254709108        471,439      74,713       X     28-5284     71977              2736
                                                               666,008     105,548       X   X 28-5284     95423             10125
                                                                   448          71       X     28-11135       71
                                                                   820         130       X     28-4580       130
                                                                 7,294       1,156       X   X 28-4580      1156
DITECH NETWORKS INC            COM            25500T108      1,007,274     977,936       X   X 28-5284              977936
DOLBY LABORATORIES INC         COM            25659T107      5,668,707     166,189       X     28-5284    155055             11134
                                                             1,232,190      36,124       X   X 28-5284     33634      1700     790
                                                             8,244,933     241,716       X     28-12474   225495             16221
                                                             2,034,184      59,636       X   X 28-12474    54051      1345    4240
                                                                 5,901         173       X     28-11135      173
                                                                30,017         880       X     28-4580       880
DOLLAR TREE INC                COM            256746108     11,021,180     247,389       X     28-5284    232724             14665
                                                             2,892,097      64,918       X   X 28-5284     60323      1615    2980
                                                            10,838,614     243,291       X     28-12474   225426             17865
                                                             2,567,773      57,638       X   X 28-12474    51328      1243    5067
                                                               434,808       9,760       X     28-4580      9560               200
                                                               110,128       2,472       X   X 28-4580      2472
DOMINION RES BLACK WARRIOR T   UNITS BEN INT  25746Q108          6,000         400       X     28-5284       400
                                                                22,500       1,500       X   X 28-5284      1500
DOMINION RES INC VA NEW        COM            25746U109     19,006,880     613,323       X     28-5284    599273       350   13700
                                                            18,756,976     605,259       X   X 28-5284    556501      8204   40554
                                                               477,153      15,397       X     28-12474    14115              1282
                                                               182,779       5,898       X   X 28-12474     5540               358
                                                                 7,562         244       X     28-11135      244
                                                               210,577       6,795       X     28-4580      6795
                                                               700,622      22,608       X   X 28-4580     19108              3500
DOMINOS PIZZA INC              COM            25754A201          1,965         300       X   X 28-5284       300
   COLUMN TOTAL                                             87,730,572







                                                                                                                  FILE NO. 28-1235
PAGE  70 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
DOMTAR CORP                    COM            257559104          6,616       6,964       X     28-5284      6964
                                                                    23          24       X   X 28-5284        24
DONALDSON INC                  COM            257651109        948,794      35,350       X     28-5284     35350
                                                               928,127      34,580       X   X 28-5284      9190             25390
DONEGAL GROUP INC              CL A           257701201         67,444       4,388       X     28-5284      4388
DONEGAL GROUP INC              CL B           257701300         10,078         616       X     28-5284       616
DONNELLEY R R & SONS CO        COM            257867101         81,766      11,155       X     28-5284      6020              5135
                                                               136,375      18,605       X   X 28-5284     17705               900
                                                                 2,441         333       X     28-11135      333
DORCHESTER MINERALS LP         COM UNIT       25820R105         16,330       1,000       X   X 28-5284      1000
DOUGLAS EMMETT INC             COM            25960P109        121,455      16,435       X     28-12474    16435
                                                                 3,104         420       X   X 28-12474      420
DOVER CORP                     COM            260003108      3,866,411     146,566       X     28-5284    136661              9905
                                                             5,135,579     194,677       X   X 28-5284    164296      8000   22381
                                                               447,115      16,949       X     28-12474    14269              2680
                                                                13,454         510       X   X 28-12474      510
                                                               138,680       5,257       X     28-11135     5257
                                                                84,416       3,200       X     28-4580      3200
DOW CHEM CO                    COM            260543103      3,655,847     433,671       X     28-5284    410091             23580
                                                             4,643,210     550,796       X   X 28-5284    525321       700   24775
                                                               295,488      35,052       X     28-12474    35052
                                                                 8,455       1,003       X     28-11135     1003
                                                                 4,215         500       X     28-11439      500
                                                                65,762       7,801       X     28-4580      7801
                                                                12,224       1,450       X   X 28-4580      1450
DOW 30 PREMIUM & DIV INC FD    COM            260582101         14,306       1,150       X     28-5284      1150
DR PEPPER SNAPPLE GROUP INC    COM            26138E109          2,503         148       X     28-5284        48               100
                                                                77,313       4,572       X   X 28-5284       872              3700
                                                                   812          48       X     28-11135       48
                                                                72,240       4,272       X   X 28-4580      4272
DREAMWORKS ANIMATION SKG INC   CL A           26153C103          8,569         396       X     28-11135      396
   COLUMN TOTAL                                             20,869,152







                                                                                                                  FILE NO. 28-1235
PAGE  71 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
DREMAN/CLAYMORE DIVID & INC    COM            26153R100          1,305         900       X     28-5284       900
DRESS BARN INC                 COM            261570105          4,424         360       X     28-5284                         360
DRESSER-RAND GROUP INC         COM            261608103        304,980      13,800       X     28-5284      2600             11200
                                                               190,060       8,600       X   X 28-5284                        8600
DREW INDS INC                  COM NEW        26168L205         34,720       4,000       X   X 28-5284      4000
DREYFUS STRATEGIC MUNS INC     COM            261932107         39,926       6,013       X     28-5284      6013
                                                                10,704       1,612       X   X 28-5284      1612
DREYFUS HIGH YIELD STRATEGIE   SH BEN INT     26200S101         32,095      13,100       X   X 28-5284                       13100
DREYFUS MUN INCOME INC         COM            26201R102          9,495       1,328       X   X 28-5284      1328
DREYFUS STRATEGIC MUN BD FD    COM            26202F107         32,366       5,105       X   X 28-5284      5105
DRIL-QUIP INC                  COM            262037104         91,793       2,990       X     28-5284        50              2940
DU PONT E I DE NEMOURS & CO    COM            263534109     28,209,020   1,263,279       X     28-5284   1216361       410   46508
                                                            36,377,915   1,629,105       X   X 28-5284   1480460     25810  122835
                                                               300,941      13,477       X     28-11135    13477
                                                             9,595,648     429,720       X     28-4580    429720
                                                             5,954,295     266,650       X   X 28-4580    261730       472    4448
DUFF & PHELPS UTIL CORP BD T   COM            26432K108         49,808       4,400       X   X 28-5284                        4400
DUKE ENERGY CORP NEW           COM            26441C105      4,477,434     312,670       X     28-5284    302495             10175
                                                             5,663,259     395,479       X   X 28-5284    355009             40470
                                                                97,075       6,779       X     28-11135     6779
                                                                32,836       2,293       X     28-4580      2293
                                                               200,480      14,000       X   X 28-4580     14000
DUKE REALTY CORP               COM NEW        264411505        211,965      38,539       X     28-5284     38539
                                                               416,268      75,685       X   X 28-5284     74585              1100
                                                                58,355      10,610       X   X 28-12474    10610
                                                                   451          82       X     28-11135       82
                                                                 4,400         800       X     28-4580       800
                                                                16,500       3,000       X   X 28-4580      3000
   COLUMN TOTAL                                             92,418,518







                                                                                                                  FILE NO. 28-1235
PAGE  72 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
DUN & BRADSTREET CORP DEL NE   COM            26483E100        556,633       7,229       X     28-5284      6629               600
                                                               420,805       5,465       X   X 28-5284      3602              1863
                                                                15,400         200       X   X 28-4580       200
DUNCAN ENERGY PARTNERS LP      COM UNITS      265026104         14,970       1,000       X   X 28-5284                        1000
DYNAMIC MATLS CORP             COM            267888105          1,832         200       X     28-5284       200
DYNAVAX TECHNOLOGIES CORP      COM            268158102          3,200       5,000       X     28-5284      5000
DYNEGY INC DEL                 CL A           26817G102            568         403       X     28-5284       403
                                                                   846         600       X   X 28-5284       600
                                                                     8           6       X   X 28-4580         6
E M C CORP MASS                NOTE  1.750%12 268648AM4        390,500       4,000       X     28-5284      4000
E M C CORP MASS                COM            268648102      7,093,855     622,268       X     28-5284    555038             67230
                                                             3,508,954     307,803       X   X 28-5284    292638             15165
                                                               295,032      25,880       X     28-12474    16900              8980
                                                                19,380       1,700       X   X 28-12474     1700
                                                               183,437      16,091       X     28-11135    16091
                                                                73,302       6,430       X     28-4580      6430
                                                                47,880       4,200       X   X 28-4580      4200
EMC INS GROUP INC              COM            268664109          2,107         100       X     28-5284       100
EMS TECHNOLOGIES INC           COM            26873N108         35,531       2,035       X     28-5284      2035
                                                                38,185       2,187       X     28-11135     2187
ENSCO INTL INC                 COM            26874Q100         95,383       3,613       X     28-5284      3613
                                                               119,328       4,520       X   X 28-5284      3870               650
                                                               114,629       4,342       X     28-11135     4342
ENI S P A                      SPONSORED ADR  26874R108        408,185      10,652       X     28-5284     10652
                                                                   460          12       X   X 28-5284        12
                                                               237,814       6,206       X     28-11135     6206
                                                                30,158         787       X     28-4580       787
   COLUMN TOTAL                                             13,708,382







                                                                                                                  FILE NO. 28-1235
PAGE  73 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
EOG RES INC                    COM            26875P101      9,973,932     182,139       X     28-5284    180189              1950
                                                             6,700,707     122,365       X   X 28-5284    114961       150    7254
                                                                 5,202          95       X     28-11135       95
                                                                23,328         426       X     28-4580       426
                                                                 5,476         100       X   X 28-4580       100
EPIQ SYS INC                   COM            26882D109        188,666      10,464       X     28-11135    10464
ERP OPER LTD PARTNERSHIP       NOTE  3.850% 8 26884AAV5      3,614,400       4,000       X     28-11439     4000
EQT CORP                       COM            26884L109     38,457,606   1,227,501       X     28-5284    232071            995430
                                                            15,133,361     483,031       X   X 28-5284    474474       115    8442
                                                                 6,266         200       X     28-4580       200
                                                                66,702       2,129       X   X 28-4580      2129
EAGLE BANCORP INC MD           COM            268948106          1,156         185       X   X 28-5284       185
E TRADE FINANCIAL CORP         COM            269246104            248         200       X     28-5284       200
EAGLE MATERIALS INC            COM            26969P108          2,425         100       X     28-5284       100
                                                                 3,735         154       X   X 28-5284                         154
EAGLE ROCK ENERGY PARTNERS L   UNIT           26985R104          7,680       1,500       X     28-5284      1500
EARTHLINK INC                  COM            270321102         19,710       3,000       X     28-5284      3000
EAST WEST BANCORP INC          COM            27579R104         18,691       4,090       X     28-5284       160              3930
                                                                 2,285         500       X   X 28-5284       500
                                                                67,312      14,729       X     28-11135    14729
EASTERN AMERN NAT GAS TR       SPERS RCT UNIT 276217106         18,795         750       X     28-5284       750
                                                                75,180       3,000       X   X 28-5284      3000
EASTERN INS HLDGS INC          COM            276534104         38,850       5,000       X     28-5284      5000
                                                                 5,828         750       X   X 28-5284       750
EASTGROUP PPTY INC             COM            277276101         10,807         385       X     28-5284       385
                                                               436,208      15,540       X     28-12474    15540
                                                                10,947         390       X   X 28-12474      390
   COLUMN TOTAL                                             74,895,503







                                                                                                                  FILE NO. 28-1235
PAGE  74 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
EASTMAN CHEM CO                COM            277432100         58,531       2,184       X     28-5284      2184
                                                               109,612       4,090       X   X 28-5284      4090
                                                                 1,260          47       X     28-4580        47
EASTMAN KODAK CO               NOTE  3.375%10 277461BE8      4,296,050       5,500       X     28-11439     5500
EASTMAN KODAK CO               COM            277461109         63,376      16,678       X     28-5284     10206              6472
                                                                78,892      20,761       X   X 28-5284     20761
                                                                   190          50       X     28-4580        50
EATON CORP                     COM            278058102      1,339,640      36,344       X     28-5284     31399       200    4745
                                                             2,147,095      58,250       X   X 28-5284     50970              7280
                                                               769,711      20,882       X     28-12474    18854              2028
                                                                96,315       2,613       X   X 28-12474     2471               142
                                                                94,251       2,557       X     28-11135     2557
EATON VANCE SR INCOME TR       SH BEN INT     27826S103         10,881       3,065       X   X 28-5284                        3065
EATON VANCE PA MUNI INCOME T   SH BEN INT     27826T101         47,785       4,817       X     28-5284      4817
                                                               108,376      10,925       X   X 28-5284     10925
EATON VANCE MUNI INCOME TRUS   SH BEN INT     27826U108          6,601         700       X   X 28-5284       700
EATON VANCE CORP               COM NON VTG    278265103         97,570       4,270       X     28-5284      4270
                                                                22,850       1,000       X   X 28-5284      1000
EATON VANCE INS MUN BD FD II   COM            27827K109         18,281       1,605       X   X 28-5284                        1605
EATON VANCE INS MUN BD FD      COM            27827X101         17,820       1,650       X     28-5284      1650
                                                                64,800       6,000       X   X 28-5284      6000
EATON VANCE ENHANCED EQ INC    COM            278274105         27,265       2,660       X     28-5284      2660
                                                                10,383       1,013       X   X 28-5284      1013
EATON VANCE ENH EQTY INC FD    COM            278277108         11,736       1,200       X     28-5284      1200
                                                                14,181       1,450       X   X 28-5284      1450
EATON VANCE TAX ADVT DIV INC   COM            27828G107         69,978       7,838       X     28-5284      7838
EATON VANCE LTD DUR INCOME F   COM            27828H105          3,153         300       X     28-5284       300
                                                                52,550       5,000       X   X 28-5284      1000              4000
   COLUMN TOTAL                                              9,639,133







                                                                                                                  FILE NO. 28-1235
PAGE  75 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
EATON VANCE TX MGD DIV EQ IN   COM            27828N102         42,792       4,371       X     28-5284      4371
                                                               312,791      31,950       X   X 28-5284     27050              4900
EATON VANCE SR FLTNG RTE TR    COM            27828Q105        269,463      32,271       X   X 28-5284     32271
EATON VANCE TX ADV GLBL DIV    COM            27828S101         15,916       1,987       X     28-5284      1987
                                                               103,289      12,895       X   X 28-5284     12895
EATON VANCE SH TM DR DIVR IN   COM            27828V104         59,904       4,800       X   X 28-5284                        4800
EATON VANCE INS PA MUN BD FD   COM            27828W102         85,347       7,480       X     28-5284      7480
                                                                71,164       6,237       X   X 28-5284      6237
EATON VANCE TX MNG BY WRT OP   COM            27828Y108         31,650       3,000       X     28-5284      3000
                                                                47,475       4,500       X   X 28-5284                        4500
EATON VANCE TXMGD GL BUYWR O   COM            27829C105         41,866       4,435       X     28-5284      4435
                                                               236,000      25,000       X   X 28-5284     25000
EATON VANCE TAX MNG GBL DV E   COM            27829F108         15,910       1,850       X     28-5284      1850
                                                               320,350      37,250       X   X 28-5284     37250
                                                                 8,600       1,000       X     28-4580      1000
EATON VANCE RISK MNGD DIV EQ   COM            27829G106          8,270         500       X   X 28-5284                         500
EBAY INC                       COM            278642103        719,148      57,257       X     28-5284     49852              7405
                                                               758,611      60,399       X   X 28-5284     41409      1000   17990
                                                               338,052      26,915       X     28-12474    24645              2270
                                                                 5,401         430       X   X 28-12474      430
                                                                 1,959         156       X     28-11135      156
                                                                 8,164         650       X     28-4580       650
                                                                 8,164         650       X   X 28-4580       650
ECHOSTAR CORP                  CL A           278768106            400          27       X     28-5284        27
                                                                 1,394          94       X   X 28-5284        94
                                                                   623          42       X   X 28-4580        42
ECLIPSYS CORP                  COM            278856109          1,977         195       X     28-5284       195
                                                               198,420      19,568       X     28-11135    19568
   COLUMN TOTAL                                              3,713,100







                                                                                                                  FILE NO. 28-1235
PAGE  76 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
ECOLAB INC                     COM            278865100      1,692,914      48,745       X     28-5284     27175             21570
                                                             2,178,022      62,713       X   X 28-5284     28683             34030
                                                             1,835,481      52,850       X     28-12474    49787              3063
                                                               255,266       7,350       X   X 28-12474     6805               545
                                                                16,011         461       X     28-11135      461
                                                                17,365         500       X     28-4580       500
                                                                15,629         450       X   X 28-4580       450
EDEN BIOSCIENCE CORP           COM PAR $.0025 279445878         54,816      44,931       X   X 28-5284               44931
EDGEWATER TECHNOLOGY INC       COM            280358102          3,058       1,100       X   X 28-5284                1100
EDISON INTL                    COM            281020107        774,413      26,880       X     28-5284      3706             23174
                                                               262,229       9,102       X   X 28-5284      8552               550
                                                                 3,457         120       X     28-11135      120
EDWARDS LIFESCIENCES CORP      COM            28176E108        182,921       3,017       X     28-5284      2660               357
                                                                52,809         871       X   X 28-5284       581               290
                                                                 1,394          23       X     28-4580        23
8X8 INC NEW                    COM            282914100         29,943      52,532       X   X 28-5284               52532
EL PASO CORP                   COM            28336L109         67,631      10,821       X     28-5284      8501              2320
                                                               115,538      18,486       X   X 28-5284     14486              4000
                                                                 1,250         200       X     28-4580       200
EL PASO ELEC CO                COM NEW        283677854          4,791         340       X     28-5284                         340
                                                                   578          41       X   X 28-5284        41
EL PASO ENERGY CAP TR I        PFD CV TR SECS 283678209          5,000         200       X     28-5284       200
EL PASO PIPELINE PARTNERS L    COM UNIT LPI   283702108         24,510       1,425       X     28-5284      1425
                                                                79,120       4,600       X   X 28-5284      4600
ELAN PLC                       ADR            284131208         28,911       4,354       X     28-5284      4354
                                                                21,580       3,250       X   X 28-5284      3250
ELDORADO GOLD CORP NEW         COM            284902103          2,700         300       X   X 28-5284       300
ELECTRO SCIENTIFIC INDS        COM            285229100          1,302         220       X     28-5284                         220
   COLUMN TOTAL                                              7,728,639







                                                                                                                  FILE NO. 28-1235
PAGE  77 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
ELECTRONIC ARTS INC            COM            285512109        325,892      17,916       X     28-5284     16631              1285
                                                               352,668      19,388       X   X 28-5284     10810       450    8128
                                                                24,466       1,345       X     28-4580      1345
EMBARQ CORP                    COM            29078E105         75,057       1,983       X     28-5284      1983
                                                               342,391       9,046       X   X 28-5284      8795       251
                                                                    76           2       X     28-12474        2
                                                                 3,861         102       X     28-4580       102
EMBRAER-EMPRESA BRASILEIRA D   SP ADR COM SHS 29081M102         46,445       3,500       X   X 28-5284      3500
EMCOR GROUP INC                COM            29084Q100          9,444         550       X     28-5284                         550
                                                                 1,717         100       X   X 28-5284                         100
                                                               278,463      16,218       X     28-11135    16218
EMCORE CORP                    COM            290846104            532         700       X     28-5284       700
                                                                 1,520       2,000       X   X 28-5284      2000
EMERGENT BIOSOLUTIONS INC      COM            29089Q105          1,351         100       X   X 28-5284       100
EMERGING MKTS TELECOMNC FD N   COM            290890102          2,434         199       X   X 28-5284       199
EMERGENCY MEDICAL SVCS CORP    CL A           29100P102          2,354          75       X   X 28-5284        75
EMERSON ELEC CO                COM            291011104     41,380,639   1,447,888       X     28-5284   1394324       290   53274
                                                            45,969,530   1,608,451       X   X 28-5284   1437621     59981  110849
                                                               162,706       5,693       X     28-11135     5693
                                                             1,040,998      36,424       X     28-4580     34384              2040
                                                             1,248,031      43,668       X   X 28-4580     42250      1418
EMERSON RADIO CORP             COM NEW        291087203        657,737   1,315,473       X   X 28-5284             1315473
EMPIRE DIST ELEC CO            COM            291641108          5,776         400       X   X 28-5284       300               100
EMULEX CORP                    COM NEW        292475209          1,509         300       X   X 28-5284       300
ENBRIDGE INC                   COM            29250N105         48,960       1,700       X     28-5284      1700
                                                                43,200       1,500       X   X 28-5284      1500
                                                               217,382       7,548       X     28-11135     7548
ENBRIDGE ENERGY PARTNERS L P   COM            29250R106      1,332,154      44,509       X     28-5284     44509
                                                             4,271,011     142,700       X   X 28-5284    142000               700
                                                                 3,741         125       X     28-12474      125
   COLUMN TOTAL                                             97,852,045







                                                                                                                  FILE NO. 28-1235
PAGE  78 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
ENBRIDGE ENERGY MANAGEMENT L   SHS UNITS LLI  29250X103          2,520          87       X   X 28-5284        87
ENCANA CORP                    COM            292505104        201,994       4,974       X     28-5284      4974
                                                             1,259,154      31,006       X   X 28-5284     23406              7600
                                                                 2,599          64       X     28-11135       64
                                                                10,234         252       X   X 28-4580       252
ENCORE ENERGY PARTNERS LP      COM UNIT       29257A106         42,780       3,000       X     28-5284      3000
                                                                 4,278         300       X   X 28-5284       300
ENCORIUM GROUP INC             COM            29257R109            658       2,630       X     28-4580      2630
ENDEAVOUR SILVER CORP          COM            29258Y103          1,550       1,000       X   X 28-5284      1000
ENDO PHARMACEUTICALS HLDGS I   COM            29264F205          8,221         465       X     28-5284       465
                                                                 5,304         300       X   X 28-5284       300
ENERGEN CORP                   COM            29265N108         52,143       1,790       X     28-5284      1790
                                                                 6,525         224       X   X 28-5284       224
                                                                 5,826         200       X     28-11135      200
                                                                 5,826         200       X     28-4580       200
ENERGY CONVERSION DEVICES IN   COM            292659109         10,616         800       X     28-5284       800
ENERGIZER HLDGS INC            COM            29266R108         91,330       1,838       X     28-5284      1838
                                                               490,689       9,875       X   X 28-5284      9875
ENERGY TRANSFER PRTNRS L P     UNIT LTD PARTN 29273R109        380,889      10,325       X     28-5284     10325
                                                               175,228       4,750       X   X 28-5284      4750
ENERPLUS RES FD                UNIT TR G NEW  29274D604        289,274      17,671       X     28-5284      8221              9450
                                                               309,966      18,935       X   X 28-5284     18625               310
ENERSIS S A                    SPONSORED ADR  29274F104          1,510         100       X   X 28-5284                         100
                                                               135,734       8,989       X     28-11135     8989
ENERNOC INC                    COM            292764107         17,448       1,200       X   X 28-5284      1200
ENNIS INC                      COM            293389102          1,772         200       X     28-5284       200
ENTEGRIS INC                   COM            29362U104            485         564       X   X 28-5284       564
   COLUMN TOTAL                                              3,514,553







                                                                                                                  FILE NO. 28-1235
PAGE  79 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
ENTERGY CORP NEW               COM            29364G103      4,958,654      72,825       X     28-5284     70930              1895
                                                             4,470,245      65,652       X   X 28-5284     65242               410
                                                               120,383       1,768       X     28-4580      1768
                                                               233,208       3,425       X   X 28-4580      2575               850
ENTERPRISE GP HLDGS L P        UNIT LP INT    293716106         33,930       1,500       X   X 28-5284      1500
ENTERPRISE PRODS PARTNERS L    COM            293792107      1,149,858      51,679       X     28-5284     49879              1800
                                                             3,857,060     173,351       X   X 28-5284    165801      5250    2300
ENTERTAINMENT PPTYS TR         COM SH BEN INT 29380T105         22,379       1,420       X     28-5284      1420
                                                                44,743       2,839       X   X 28-5284      2839
                                                               312,600      19,835       X     28-12474    19835
                                                               259,567      16,470       X   X 28-12474    16470
                                                                   347          22       X     28-11135       22
ENZO BIOCHEM INC               COM            294100102          1,001         249       X     28-5284                         249
EQUIFAX INC                    COM            294429105        220,050       9,000       X     28-5284      9000
                                                               117,360       4,800       X   X 28-5284      3300              1500
                                                                85,208       3,485       X     28-11135     3485
EQUITY ONE                     COM            294752100          9,203         755       X     28-5284       755
EQUITY RESIDENTIAL             SH BEN INT     29476L107         34,682       1,890       X     28-5284       970               920
                                                               121,844       6,640       X   X 28-5284      4440              2200
                                                               640,048      34,880       X     28-12474    34880
                                                                16,148         880       X   X 28-12474      880
                                                                    92           5       X     28-11135        5
EQUITY RESIDENTIAL             PFD CONV E 7%  29476L883          6,000         300       X   X 28-5284       300
ERICSSON L M TEL CO            ADR B SEK 10   294821608         23,930       2,958       X     28-5284      2958
                                                                37,157       4,593       X   X 28-5284      4593
                                                                     8           1       X     28-12474        1
                                                                 2,751         340       X     28-4580       340
ERIE INDTY CO                  CL A           29530P102      2,823,781      82,615       X     28-5284     82615
                                                               267,117       7,815       X   X 28-5284      7815
ESCO TECHNOLOGIES INC          COM            296315104         11,610         300       X     28-5284       300
ESSA BANCORP INC               COM            29667D104        206,305      15,500       X     28-5284     15500
   COLUMN TOTAL                                             20,087,269







                                                                                                                  FILE NO. 28-1235
PAGE  80 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
ESSEX PPTY TR INC              COM            297178105          4,587          80       X     28-5284                          80
                                                                   459           8       X   X 28-5284         8
                                                               486,817       8,490       X     28-12474     8490
                                                                12,615         220       X   X 28-12474      220
ESTERLINE TECHNOLOGIES CORP    COM            297425100         38,240       1,894       X     28-5284      1634               260
                                                                80,720       3,998       X   X 28-5284      3998
                                                                 1,393          69       X     28-11135       69
ETABLISSEMENTS DELHAIZE FRER   SPONSORED ADR  29759W101          6,091          94       X     28-5284        94
                                                                60,134         928       X   X 28-5284       928
ETHAN ALLEN INTERIORS INC      COM            297602104          2,815         250       X     28-5284                         250
                                                                 3,378         300       X   X 28-5284       300
                                                               128,927      11,450       X     28-11135    11450
                                                                13,512       1,200       X     28-4580      1200
EURONET WORLDWIDE INC          COM            298736109         15,672       1,200       X   X 28-5284      1200
EVERGREEN INCOME ADVANTAGE F   COM SHS        30023Y105         25,701       4,132       X   X 28-5284      4132
EVERGREEN GBL DIVID OPP FUND   COM            30024H101          8,060       1,000       X     28-5284      1000
                                                                 3,071         381       X   X 28-5284       381
EVERGREEN INTL BALANCED INCO   COM            30024R109          2,610         250       X     28-5284       250
EVERGREEN MULTI SECT INC FUN   COM SHS        30024Y104         20,680       2,000       X     28-5284      2000
                                                               221,276      21,400       X   X 28-5284                       21400
EVERGREEN SOLAR INC            COM            30033R108          4,202       1,973       X   X 28-5284      1973
EVOLVING SYS INC               COM            30049R100        497,457     379,738       X   X 28-5284              379738
EVOTEC AG                      SPONSORED ADS  30050E105          6,034       3,227       X   X 28-5284                3227
EXAR CORP                      COM            300645108          1,872         300       X     28-5284                         300
   COLUMN TOTAL                                              1,646,323







                                                                                                                  FILE NO. 28-1235
PAGE  81 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
EXELON CORP                    COM            30161N101     22,234,246     489,849       X     28-5284    474233             15616
                                                            21,819,699     480,716       X   X 28-5284    438622     15150   26944
                                                                58,553       1,290       X     28-12474      350               940
                                                                 7,716         170       X   X 28-12474      170
                                                                 5,038         111       X     28-11135      111
                                                               529,928      11,675       X     28-4580     11675
                                                               760,373      16,752       X   X 28-4580     16752
EXPEDIA INC DEL                COM            30212P105          1,371         151       X     28-5284       151
EXPEDITORS INTL WASH INC       COM            302130109        150,107       5,306       X     28-5284      4693               613
                                                               967,518      34,200       X   X 28-5284     15450             18750
                                                                20,312         718       X     28-11135      718
                                                                29,422       1,040       X   X 28-4580      1040
EXPRESSJET HOLDINGS INC        COM NEW        30218U306            108         100       X   X 28-5284       100
EXPRESS SCRIPTS INC            COM            302182100        313,679       6,794       X     28-5284      5934               860
                                                               104,390       2,261       X   X 28-5284      2261
                                                               377,024       8,166       X     28-11135     8166
EXTERRAN HLDGS INC             COM            30225X103          8,122         507       X     28-5284       507
EZCORP INC                     CL A NON VTG   302301106          1,203         104       X     28-11135      104
EXXON MOBIL CORP               COM            30231G102    481,990,757   7,077,691       X     28-5284   6837209       800  239682
                                                           572,173,476   8,401,960       X   X 28-5284   7772721     87001  542238
                                                            49,155,193     721,809       X     28-12474   668686             53123
                                                            12,333,182     181,104       X   X 28-12474   160935      3614   16555
                                                               145,189       2,132       X     28-11135     2132
                                                            16,029,378     235,380       X     28-4580    232937              2443
                                                            49,819,440     731,563       X   X 28-4580    725778      1000    4785
FLIR SYS INC                   COM            302445101         41,533       2,028       X     28-5284      2028
                                                               286,720      14,000       X   X 28-5284                       14000
                                                               177,746       8,679       X     28-11135     8679
FMC TECHNOLOGIES INC           COM            30249U101        448,591      14,300       X     28-5284     13105              1195
                                                                65,689       2,094       X   X 28-5284      2094
                                                               186,306       5,939       X     28-11135     5939
   COLUMN TOTAL                                          1,230,242,009







                                                                                                                  FILE NO. 28-1235
PAGE  82 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
F M C CORP                     COM NEW        302491303          6,040         140       X     28-5284       140
                                                               198,013       4,590       X   X 28-5284      4590
                                                                42,838         993       X     28-11135      993
FNB CORP PA                    COM            302520101        616,530      80,382       X     28-5284     80382
                                                               325,300      42,412       X   X 28-5284     29651      4845    7916
FPIC INS GROUP INC             COM            302563101         46,028       1,243       X     28-11135     1243
FPL GROUP INC                  COM            302571104     33,087,577     652,229       X     28-5284    639214             13015
                                                            37,285,079     734,971       X   X 28-5284    702235      6825   25911
                                                                98,264       1,937       X     28-11135     1937
                                                             1,196,822      23,592       X     28-4580     23592
                                                             1,057,974      20,855       X   X 28-4580     18855              2000
FX ENERGY INC                  COM            302695101         16,680       6,000       X     28-4580      6000
FTI CONSULTING INC             COM            302941109          4,948         100       X     28-5284       100
FACET BIOTECH CORP             SHS            30303Q103            114          12       X     28-11135       12
FACTSET RESH SYS INC           COM            303075105      4,244,201      84,901       X     28-5284     83711       330     860
                                                             3,007,248      60,157       X   X 28-5284     58197       100    1860
                                                                   500          10       X     28-12474       10
                                                                   650          13       X   X 28-12474       13
                                                               182,464       3,650       X     28-4580      3650
                                                                49,740         995       X   X 28-4580       995
FAIR ISAAC CORP                COM            303250104         85,588       6,083       X     28-5284      6083
                                                                16,181       1,150       X   X 28-5284      1150
FAIRCHILD SEMICONDUCTOR INTL   COM            303726103         14,547       3,900       X   X 28-5284      3900
FAIRFAX FINL HLDGS LTD         SUB VTG        303901102         26,050         100       X     28-5284       100
FAIRPOINT COMMUNICATIONS INC   COM            305560104          6,410       8,218       X     28-5284      8054               164
                                                                10,039      12,870       X   X 28-5284     11903        35     932
                                                                    22          28       X     28-11135       28
                                                                    57          73       X     28-4580        72                 1
                                                                   924       1,185       X   X 28-4580      1185
   COLUMN TOTAL                                             81,626,828







                                                                                                                  FILE NO. 28-1235
PAGE  83 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
FAMILY DLR STORES INC          COM            307000109        675,409      20,240       X     28-5284     19540               700
                                                             1,055,360      31,626       X   X 28-5284     31426       200
                                                               390,396      11,699       X     28-12474    10726               973
                                                               150,899       4,522       X   X 28-12474     4248               274
FASTENAL CO                    COM            311900104        203,895       6,341       X     28-5284      6241               100
                                                             2,909,224      90,475       X   X 28-5284     27800             62675
FAUQUIER BANKSHARES INC VA     COM            312059108        165,000      15,000       X   X 28-5284     15000
FEDERAL HOME LN MTG CORP       COM            313400301          5,130       6,750       X     28-5284      6750
                                                                 2,370       3,118       X   X 28-5284       720              2398
FEDERAL MOGUL CORP             COM            313549404        330,199      49,431       X   X 28-5284               49431
FEDERAL NATL MTG ASSN          COM            313586109          2,405       3,435       X     28-5284      3435
                                                                 9,636      13,766       X   X 28-5284     13766
                                                                   179         255       X     28-11135      255
                                                                     6           4       X                     4
FEDERAL REALTY INVT TR         SH BEN INT NEW 313747206        369,656       8,036       X     28-5284      7876               160
                                                             1,279,352      27,812       X   X 28-5284     26912               900
                                                               738,300      16,050       X     28-12474    16050
                                                                18,400         400       X   X 28-12474      400
FEDERATED INVS INC PA          CL B           314211103        198,092       8,899       X     28-5284      8899
                                                               208,843       9,382       X   X 28-5284      2087              7295
                                                               375,126      16,852       X     28-12474    15442              1410
                                                               145,202       6,523       X   X 28-12474     6128               395
                                                               139,103       6,249       X     28-11135     6249
FEDERATED PREM MUN INC FD      COM            31423P108         18,388       1,577       X   X 28-5284      1577
FEDEX CORP                     COM            31428X106      1,231,038      27,670       X     28-5284     26690               980
                                                               655,427      14,732       X   X 28-5284      8573              6159
                                                               172,621       3,880       X     28-12474     2440              1440
                                                                12,012         270       X   X 28-12474      270
                                                                37,772         849       X     28-11135      849
                                                                92,539       2,080       X     28-4580      2080
                                                                 6,674         150       X   X 28-4580       150
FEDFIRST FINL CORP             COM            31429X105         96,250      27,500       X     28-5284     27500
   COLUMN TOTAL                                             11,694,903







                                                                                                                  FILE NO. 28-1235
PAGE  84 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
FELCOR LODGING TR INC          COM            31430F101         83,273      61,230       X     28-12474    61230
                                                                 2,108       1,550       X   X 28-12474     1550
FERRELLGAS PARTNERS L.P.       UNIT LTD PART  315293100         16,080       1,200       X     28-5284      1200
                                                                 2,680         200       X   X 28-5284       200
F5 NETWORKS INC                COM            315616102          1,676          80       X     28-5284                          80
                                                                27,235       1,300       X   X 28-5284      1300
                                                                84,303       4,024       X     28-11135     4024
FIBERTOWER CORP                NOTE  9.000%11 31567RAC4     95,625,000   3,000,000       X   X 28-5284             3000000
FIDELITY BANCORP INC           COM            315831107         14,360       1,426       X     28-5284      1426
FIDELITY NATL INFORMATION SV   COM            31620M106         53,690       2,950       X     28-5284      2950
                                                             1,646,044      90,442       X   X 28-5284     90442
FIDELITY NATIONAL FINANCIAL    CL A           31620R105        189,188       9,697       X     28-5284      9027               670
                                                             3,514,570     180,142       X   X 28-5284    179162               980
                                                               122,035       6,255       X     28-12474     4255              2000
                                                                 7,414         380       X   X 28-12474      380
FIFTH THIRD BANCORP            COM            316773100        370,542     126,898       X     28-5284    114458             12440
                                                               159,762      54,713       X   X 28-5284     53613              1100
FINANCIAL FED CORP             COM            317492106          4,660         220       X     28-5284                         220
                                                                47,422       2,239       X     28-11135     2239
FINANCIAL INSTNS INC           COM            317585404        324,612      42,600       X     28-1500     42600
FINISAR                        COM            31787A101      6,928,498  15,746,586       X     28-5284  15746586
FINISH LINE INC                CL A           317923100            556          84       X   X 28-5284        84
FIRST ACCEPTANCE CORP          COM            318457108            242         100       X     28-5284       100
FIRST AMERN CORP CALIF         COM            318522307        312,553      11,790       X     28-5284     11650               140
FIRST BANCORP P R              COM            318672102          2,556         600       X     28-5284                         600
                                                                   281          66       X     28-11135       66
FIRST CASH FINL SVCS INC       COM            31942D107         24,185       1,621       X   X 28-5284      1621
   COLUMN TOTAL                                            109,565,525







                                                                                                                  FILE NO. 28-1235
PAGE  85 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
FIRST CTZNS BANCSHARES INC N   CL A           31946M103         52,720         400       X     28-5284       400
FIRST COMWLTH FINL CORP PA     COM            319829107        367,679      41,452       X     28-5284     41452
                                                               211,514      23,846       X   X 28-5284     19696              4150
FIRST FRANKLIN CORP            COM            320272107         59,078      16,275       X     28-5284                       16275
                                                                43,560      12,000       X   X 28-5284     12000
FIRST HORIZON NATL CORP        COM            320517105        251,026      23,373       X     28-5284     23373
                                                                 3,007         280       X   X 28-5284       280
FIRST INDUSTRIAL REALTY TRUS   COM            32054K103        125,906      51,390       X     28-5284     51390
                                                                 3,430       1,400       X   X 28-5284      1400
FIRST ISRAEL FD INC            COM            32063L100         29,456       3,650       X     28-5284      3650
FIRST MARBLEHEAD CORP          COM            320771108             13          10       X     28-5284                          10
FIRST MARINER BANCORP          COM            320795107          3,300       5,000       X   X 28-5284                        5000
FIRST MIDWEST BANCORP DEL      COM            320867104          3,608         420       X     28-5284                         420
FIRST OPPORTUNITY FD INC       COM            33587T108          3,624         839       X   X 28-5284       839
FIRST POTOMAC RLTY TR          COM            33610F109         13,230       1,800       X     28-5284      1800
                                                                 7,350       1,000       X   X 28-5284      1000
FIRST SOLAR INC                COM            336433107        116,511         878       X     28-5284       878
                                                               271,372       2,045       X   X 28-5284      1670               375
                                                                28,531         215       X     28-11135      215
FIRST TR MORNINGSTAR DIV LEA   SHS            336917109          4,343         450       X   X 28-4580       450
FIRST TR ABERDEEN GLBL OPP F   COM SHS        337319107         15,735       1,500       X   X 28-5284                        1500
FIRST TR FOUR CRNRS SR FLT R   COM SHS        33733Q107         19,223       2,500       X     28-5284      2500
FIRST TR/FOUR CRNRS SR FLOAT   COM            33733U108          9,048       1,124       X   X 28-5284      1124
FIRST TRUST FIDAC MTG INCM F   COM SHS        33734E103        130,544       8,200       X   X 28-5284                        8200
   COLUMN TOTAL                                              1,773,808







                                                                                                                  FILE NO. 28-1235
PAGE  86 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
FIRST TR VALUE LINE DIVID IN   SHS            33734H106        115,586      11,699       X     28-5284     11699
FIRST TR ISE REVERE NAT GAS    COM            33734J102         43,830       4,405       X   X 28-5284      4405
FIRST TR STRATEGIC HIGH INC    COM SHS        337353106          2,650         500       X   X 28-5284       500
FIRST TR ISE GLB WIND ENRG E   COM SHS        33736G106            423          40       X     28-5284        40
FIRST UTD CORP                 COM            33741H107          4,190         500       X     28-5284       500
FIRSTSERVICE CORP              SUB VTG SH     33761N109         18,260       2,200       X   X 28-5284      2200
FISERV INC                     COM            337738108        341,156       9,357       X     28-5284      7632              1725
                                                               865,232      23,731       X   X 28-5284     11320             12411
                                                                   620          17       X   X 28-12474       17
                                                                12,141         333       X     28-11135      333
FIRSTMERIT CORP                COM            337915102        991,736      54,491       X     28-5284     54491
FLAGSTAR BANCORP INC           COM            337930101          7,500      10,000       X   X 28-5284     10000
FIRSTENERGY CORP               COM            337932107      9,082,464     235,297       X     28-5284    229117       290    5890
                                                             5,417,356     140,346       X   X 28-5284    136436       520    3390
                                                               262,750       6,807       X     28-12474     6230               577
                                                               102,097       2,645       X   X 28-12474     2481               164
                                                               270,084       6,997       X     28-11135     6997
                                                               356,239       9,229       X     28-4580      9029               200
                                                               179,374       4,647       X   X 28-4580      4647
FISHER SCIENTIFIC INTL INC     NOTE  3.250% 3 338032AX3        237,250       2,000       X     28-5284      2000
FIVE STAR QUALITY CARE INC     COM            33832D106             38          37       X     28-5284        37
                                                                 1,560       1,500       X   X 28-5284      1500
FLAHERTY & CRUMRINE PFD INC    COM            33848E106         17,948       4,056       X     28-5284      4056
FLAHERTY & CRUMRINE PFD INC    COM            338480106          4,950         900       X   X 28-5284       900
   COLUMN TOTAL                                             18,335,434







                                                                                                                  FILE NO. 28-1235
PAGE  87 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
FLUOR CORP NEW                 COM            343412102        266,622       7,717       X     28-5284      7077               640
                                                               617,512      17,873       X   X 28-5284     14148              3725
                                                               167,982       4,862       X     28-11135     4862
                                                                70,067       2,028       X     28-4580      2028
                                                                15,548         450       X   X 28-4580       450
FLOWERS FOODS INC              COM            343498101          2,841         121       X     28-5284       121
                                                                 1,221          52       X   X 28-5284        52
                                                                15,309         652       X     28-11135      652
FLOWSERVE CORP                 COM            34354P105         50,171         894       X     28-5284       894
                                                                85,022       1,515       X   X 28-5284      1515
                                                               211,572       3,770       X     28-11135     3770
FOMENTO ECONOMICO MEXICANO S   SPON ADR UNITS 344419106          5,118         203       X     28-5284       203
                                                                 1,235          49       X     28-4580        49
FOOT LOCKER INC                COM            344849104        228,988      21,850       X   X 28-5284     21850
FORCE PROTECTION INC           COM NEW        345203202          5,760       1,200       X   X 28-5284       200              1000
FORD MTR CO DEL                COM PAR $0.01  345370860        175,074      66,568       X     28-5284     59708              6860
                                                               166,521      63,316       X   X 28-5284     58316              5000
                                                                26,747      10,170       X     28-4580     10170
                                                                   263         100       X   X 28-4580       100
FORD MTR CO CAP TR II          PFD TR CV6.5%  345395206          8,070       1,010       X     28-5284      1010
                                                                 2,237         280       X   X 28-5284       280
FOREST CITY ENTERPRISES INC    CL A           345550107         32,627       9,063       X     28-5284                        9063
                                                               193,500      53,750       X   X 28-5284     53000               750
FOREST LABS INC                COM            345838106        288,906      13,156       X     28-5284      6649              6507
                                                               203,130       9,250       X   X 28-5284      9250
                                                                   988          45       X     28-11135       45
FOREST OIL CORP                COM PAR $0.01  346091705          2,630         200       X     28-5284       200
                                                               299,820      22,800       X   X 28-5284     22800
FORESTAR GROUP INC             COM            346233109          2,241         293       X     28-5284       293
FORMFACTOR INC                 COM            346375108         66,674       3,700       X   X 28-5284      3700
   COLUMN TOTAL                                              3,214,396







                                                                                                                  FILE NO. 28-1235
PAGE  88 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
FORT DEARBORN INCOME SECS IN   COM            347200107         19,755       1,500       X   X 28-5284                        1500
FORTRESS INTL GROUP INC        *W EXP 07/12/2 34958D110          3,527     195,924       X   X 28-5284              195924
FORTUNE BRANDS INC             COM            349631101      3,675,135     149,700       X     28-5284    146350        90    3260
                                                             3,848,949     156,780       X   X 28-5284    152017       150    4613
                                                                74,166       3,021       X     28-11135     3021
                                                                15,958         650       X     28-4580       650
                                                                52,783       2,150       X   X 28-4580      2150
40 / 86 STRATEGIC INCOME FD    SH BEN INT     349739102         33,990       5,500       X   X 28-5284                        5500
FORWARD AIR CORP               COM            349853101          4,139         255       X     28-5284                         255
                                                               308,873      19,031       X     28-11135    19031
FOSSIL INC                     COM            349882100         13,314         848       X     28-5284                         848
FOSTER L B CO                  COM            350060109          7,449         300       X     28-5284       300
FRANCE TELECOM                 SPONSORED ADR  35177Q105         21,958         969       X     28-5284       969
                                                                18,445         814       X   X 28-5284       814
FRANKLIN RES INC               COM            354613101      4,755,590      88,279       X     28-5284     84884              3395
                                                             3,237,318      60,095       X   X 28-5284     53660       645    5790
                                                                78,381       1,455       X     28-12474      625               830
                                                                 8,350         155       X   X 28-12474      155
                                                                 3,124          58       X     28-11135       58
                                                                60,604       1,125       X     28-4580      1125
                                                                 8,889         165       X   X 28-4580       165
FRANKLIN STREET PPTYS CORP     COM            35471R106         22,140       1,800       X   X 28-5284      1800
FRANKLIN TEMPLETON LTD DUR I   COM            35472T101         59,764       6,700       X   X 28-5284      1000              5700
FREDS INC                      CL A           356108100          3,497         310       X     28-5284                         310
FREEPORT-MCMORAN COPPER & GO   PFD CONV       35671D782          5,776          90       X   X 28-5284        90
   COLUMN TOTAL                                             16,341,874







                                                                                                                  FILE NO. 28-1235
PAGE  89 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
FREEPORT-MCMORAN COPPER & GO   COM            35671D857      1,482,974      38,913       X     28-5284     30765              8148
                                                               940,059      24,667       X   X 28-5284     21083       320    3264
                                                               229,613       6,025       X     28-11135     6025
                                                                47,638       1,250       X     28-4580      1250
                                                               207,433       5,443       X   X 28-4580      5443
FRESENIUS KABI PHARMACEUTHLD   RIGHT 06/30/20 35802M115            111         300       X   X 28-5284       300
FRESENIUS MED CARE AG&CO KGA   SPONSORED ADR  358029106         33,205         858       X     28-5284       858
                                                                33,669         870       X   X 28-5284       870
FRONTIER COMMUNICATIONS CORP   COM            35906A108         65,611       9,138       X     28-5284      9138
                                                               439,028      61,146       X   X 28-5284     49146             12000
                                                                47,022       6,549       X   X 28-4580      6549
FRONTIER OIL CORP              COM            35914P105          2,558         200       X     28-5284       200
                                                                14,069       1,100       X   X 28-5284      1100
FUELCELL ENERGY INC            COM            35952H106         17,501       7,292       X   X 28-5284      7292
FUEL SYS SOLUTIONS INC         COM            35952W103          3,370         250       X     28-5284       250
FUEL TECH INC                  COM            359523107          2,092         200       X     28-5284       200
                                                                 1,046         100       X   X 28-5284       100
FUJIFILM HLDGS CORP            ADR 2 ORD      35958N107         13,072         595       X     28-5284       595
                                                                13,907         633       X   X 28-5284       633
FULLER H B CO                  COM            359694106         23,400       1,800       X     28-5284      1800
                                                                    91           7       X   X 28-5284         7
                                                                   650          50       X     28-11135       50
FULTON FINL CORP PA            COM            360271100        938,675     141,580       X     28-5284    140665               915
                                                             1,051,730     158,632       X   X 28-5284    105084             53548
                                                                19,181       2,893       X     28-4580      2893
FURNITURE BRANDS INTL INC      COM            360921100            250         170       X     28-5284       150                20
                                                                    90          61       X     28-11135       61
G & K SVCS INC                 CL A           361268105         24,942       1,319       X     28-5284      1000               319
                                                                22,692       1,200       X   X 28-5284      1200
   COLUMN TOTAL                                              5,675,679







                                                                                                                  FILE NO. 28-1235
PAGE  90 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
GATX CORP                      COM            361448103          2,913         144       X     28-5284        60                84
                                                                14,444         714       X   X 28-5284       714
                                                                 6,575         325       X     28-11135      325
GEO GROUP INC                  COM            36159R103            861          65       X     28-5284        65
GFI GROUP INC                  COM            361652209          6,420       2,000       X     28-5284      2000
GP STRATEGIES CORP             COM            36225V104          2,225         625       X     28-5284       625
GSE SYS INC                    COM            36227K106          5,950       1,000       X   X 28-5284      1000
GSI COMMERCE INC               COM            36238G102          2,921         223       X     28-11135      223
GABELLI GLOBAL MULTIMEDIA TR   COM            36239Q109            570         168       X     28-5284       168
                                                               113,548      33,495       X   X 28-5284               33495
                                                                   142          42       X     28-4580        42
GABELLI EQUITY TR INC          COM            362397101         31,920      10,500       X   X 28-5284     10500
                                                                 9,901       3,257       X     28-4580      3257
GSI TECHNOLOGY                 COM            36241U106      1,104,453     434,824       X   X 28-5284              434824
GABELLI DIVD & INCOME TR       COM            36242H104         39,253       4,701       X     28-5284      4701
GABELLI GLOBAL DEAL FD         COM SBI        36245G103         12,390       1,000       X     28-5284      1000
GABELLI HLTHCARE & WELLNESS    SHS            36246K103            631         139       X     28-4580       139
GAIAM INC                      CL A           36268Q103            115          35       X     28-5284        35
                                                                 6,560       2,000       X   X 28-5284      2000
GALLAGHER ARTHUR J & CO        COM            363576109             17           1       X     28-5284                           1
                                                                17,000       1,000       X   X 28-5284      1000
                                                                 3,740         220       X     28-11135      220
GAMESTOP CORP NEW              CL A           36467W109        310,574      11,084       X     28-5284     11084
                                                               943,489      33,672       X   X 28-5284     33672
                                                                   504          18       X   X 28-12474       18
                                                               722,608      25,789       X     28-11135    25789
   COLUMN TOTAL                                              3,359,724







                                                                                                                  FILE NO. 28-1235
PAGE  91 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
GANNETT INC                    COM            364730101        244,913     111,324       X     28-5284    107464              3860
                                                               169,506      77,048       X   X 28-5284     70873       800    5375
                                                                   222         101       X     28-11135      101
                                                                 5,500       2,500       X     28-4580      2500
GAP INC DEL                    COM            364760108        206,008      15,859       X     28-5284     15359       500
                                                                85,708       6,598       X   X 28-5284      4348              2250
                                                               344,949      26,555       X     28-12474    24343              2212
                                                               133,745      10,296       X   X 28-12474     9674               622
                                                               631,132      48,586       X     28-11135    48586
GARDNER DENVER INC             COM            365558105          9,566         440       X     28-5284                         440
                                                                 1,435          66       X   X 28-5284        66
GARTNER INC                    COM            366651107          8,037         730       X     28-5284       730
                                                                 2,004         182       X   X 28-5284       182
GEN-PROBE INC NEW              COM            36866T103          1,550          34       X     28-5284        34
                                                                18,232         400       X   X 28-5284       400
GENAERA CORP                   COM NEW        36867G209        173,787     724,114       X   X 28-5284              724114
GENCOR INDS INC                COM            368678108      3,136,197     462,566       X   X 28-5284              462566
GENCORP INC                    COM            368682100            827         390       X     28-5284                         390
GENENTECH INC                  COM NEW        368710406        356,612       3,755       X     28-5284      3755
                                                               175,979       1,853       X   X 28-5284      1853
                                                                 7,123          75       X     28-11135       75
                                                                61,731         650       X     28-4580       535               115
GENERAL AMERN INVS INC         COM            368802104        138,641       9,032       X   X 28-5284      9032
GENERAL CABLE CORP DEL NEW     COM            369300108         17,243         870       X     28-5284       870
GENERAL COMMUNICATION INC      CL A           369385109          2,004         300       X     28-5284                         300
GENERAL DYNAMICS CORP          COM            369550108     12,890,613     309,945       X     28-5284    295841       160   13944
                                                             8,601,269     206,811       X   X 28-5284    182601     10560   13650
                                                               318,579       7,660       X     28-12474     7660
                                                                91,248       2,194       X     28-11135     2194
                                                               138,037       3,319       X     28-4580      3319
                                                               119,862       2,882       X   X 28-4580      2775               107
   COLUMN TOTAL                                             28,092,259







                                                                                                                  FILE NO. 28-1235
PAGE  92 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
GENERAL ELECTRIC CO            COM            369604103    104,789,402  10,364,926       X     28-5284   9986984      4868  373074
                                                           140,760,812  13,922,929       X   X 28-5284  12881333    136550  905046
                                                             1,651,994     163,402       X     28-12474   149240             14162
                                                               246,320      24,364       X   X 28-12474    22994              1370
                                                               559,679      55,359       X     28-11135    55359
                                                             3,569,720     353,088       X     28-4580    351360              1728
                                                             4,107,036     406,235       X   X 28-4580    402383      3000     852
GENERAL EMPLOYMENT ENTERPRIS   COM            369730106            720       2,000       X   X 28-5284                2000
GENERAL GROWTH PPTYS INC       COM            370021107          2,675       3,767       X     28-5284      3767
                                                                 2,153       3,032       X   X 28-5284        32              3000
GENERAL MLS INC                COM            370334104     24,802,730     497,248       X     28-5284    465852       160   31236
                                                            24,843,333     498,062       X   X 28-5284    450303      4185   43574
                                                             9,071,925     181,875       X     28-12474   169244             12631
                                                             2,104,637      42,194       X   X 28-12474    38103       764    3327
                                                                99,560       1,996       X     28-11135     1996
                                                               715,179      14,338       X     28-4580     13818               520
                                                               225,009       4,511       X   X 28-4580      4511
GENERAL MTRS CORP              COM            370442105        110,347      56,880       X     28-5284     25380             31500
                                                                41,147      21,210       X   X 28-5284     19273              1937
                                                                   159          82       X     28-11135       82
                                                                20,234      10,430       X     28-4580     10430
                                                                   588         303       X   X 28-4580       303
GENERAL MTRS CORP              DEB SR CONV A  370442741        121,125      32,300       X   X 28-5284               32300
GENESCO INC                    COM            371532102          5,367         285       X     28-5284       115               170
                                                                 4,708         250       X   X 28-5284       250
GENESEE & WYO INC              CL A           371559105          4,250         200       X     28-5284       200
                                                               719,568      33,862       X   X 28-5284     26362              7500
                                                                 1,488          70       X     28-11135       70
GENESIS LEASE LTD              ADR            37183T107          4,170       1,500       X   X 28-5284                        1500
GENTEX CORP                    COM            371901109         67,130       6,740       X     28-5284                        6740
                                                                49,800       5,000       X   X 28-5284      5000
                                                               194,559      19,534       X     28-11135    19534
   COLUMN TOTAL                                            318,897,524







                                                                                                                  FILE NO. 28-1235
PAGE  93 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
GENESIS ENERGY L P             UNIT LTD PARTN 371927104          5,115         500       X     28-5284       500
                                                               102,300      10,000       X   X 28-5284     10000
GENOPTIX INC                   COM            37243V100            546          20       X     28-5284        20
                                                               105,028       3,850       X   X 28-5284      3850
GENOMIC HEALTH INC             COM            37244C101        146,280       6,000       X     28-5284      6000
GENTEK INC                     COM NEW        37245X203             52           3       X     28-5284         3
GENUINE PARTS CO               COM            372460105        616,072      20,632       X     28-5284     19932               700
                                                             1,894,408      63,443       X   X 28-5284     55106              8337
                                                                 6,629         222       X     28-11135      222
                                                               197,076       6,600       X     28-4580      6600
GENWORTH FINL INC              COM CL A       37247D106          2,958       1,557       X     28-5284        77              1480
                                                                 1,710         900       X   X 28-5284       900
GEOEYE INC                     COM            37250W108          5,925         300       X     28-5284       300
GEOKINETICS INC                COM PAR $0.01  372910307         13,080       4,000       X   X 28-5284      4000
GENZYME CORP                   COM            372917104      8,423,640     141,836       X     28-5284    115139             26697
                                                             5,223,944      87,960       X   X 28-5284     75766       625   11569
                                                             1,306,936      22,006       X     28-12474    20466              1540
                                                               191,355       3,222       X   X 28-12474     3222
                                                                40,860         688       X     28-4580       688
                                                                25,241         425       X   X 28-4580       425
GEORGIA GULF CORP              COM PAR $0.01  373200203            163         230       X     28-5284                         230
                                                                   142         200       X   X 28-5284                         200
GERDAU AMERISTEEL CORP         COM            37373P105          4,605       1,500       X     28-5284      1500
GERBER SCIENTIFIC INC          COM            373730100            406         170       X     28-5284                         170
GERDAU S A                     SPONSORED ADR  373737105          2,735         500       X     28-5284       500
                                                                71,110      13,000       X   X 28-5284      8000              5000
GERON CORP                     COM            374163103          2,235         500       X     28-5284       500
                                                                 1,565         350       X   X 28-5284       350
   COLUMN TOTAL                                             18,392,116







                                                                                                                  FILE NO. 28-1235
PAGE  94 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
GETTY RLTY CORP NEW            COM            374297109         36,700       2,000       X   X 28-5284      2000
                                                               248,826      13,560       X   X 28-12474    13560
GILEAD SCIENCES INC            NOTE  0.625% 5 375558AH6        256,000       2,000       X     28-5284      2000
GILEAD SCIENCES INC            COM            375558103     17,858,630     385,549       X     28-5284    374523             11026
                                                            15,513,309     334,916       X   X 28-5284    325216      2020    7680
                                                             2,005,146      43,289       X     28-12474    42038              1251
                                                               314,235       6,784       X   X 28-12474     6784
                                                             1,007,228      21,745       X     28-11135    21745
                                                               265,367       5,729       X     28-4580      5729
                                                               177,406       3,830       X   X 28-4580      3830
GILDAN ACTIVEWEAR INC          COM            375916103         66,177       8,170       X     28-5284      8170
                                                               409,901      50,605       X     28-12474    42565              8040
                                                                12,312       1,520       X   X 28-12474     1520
GLACIER BANCORP INC NEW        COM            37637Q105        281,209      17,900       X   X 28-5284     10400              7500
                                                                37,798       2,406       X     28-11135     2406
GLADSTONE COML CORP            COM            376536108         20,424       2,300       X     28-5284      2300
                                                                90,132      10,150       X   X 28-12474    10150
GLADSTONE INVT CORP            COM            376546107          1,146         300       X     28-5284       300
                                                                 2,418         633       X     28-11135      633
GLATFELTER                     COM            377316104      2,199,818     352,535       X     28-5284    352335               200
                                                             6,079,538     974,285       X   X 28-5284    973485       800
                                                                 1,872         300       X     28-4580       300
GLAXOSMITHKLINE PLC            SPONSORED ADR  37733W105      6,597,932     212,357       X     28-5284    187316             25041
                                                            17,359,089     558,709       X   X 28-5284    519027             39682
                                                               323,780      10,421       X     28-11135    10421
                                                                50,737       1,633       X     28-4580      1633
                                                               154,915       4,986       X   X 28-4580      4986
GLEN BERNIE BANCORP            COM            377407101         97,974      10,886       X                 10886
GLG PARTNERS INC               COM            37929X107          4,714       1,660       X     28-5284                        1660
GLIMCHER RLTY TR               SH BEN INT     379302102          8,925       6,375       X     28-5284      6375
                                                                   280         200       X   X 28-5284       200
                                                                20,580      14,700       X   X 28-12474    14700
GLOBAL HIGH INCOME FUND INC    COM            37933G108          8,726       1,050       X     28-5284      1050
   COLUMN TOTAL                                             71,317,296







                                                                                                                  FILE NO. 28-1235
PAGE  95 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
GLOBAL INDS LTD                COM            379336100            384         100       X     28-11135      100
GLOBAL PMTS INC                COM            37940X102        457,917      13,706       X     28-5284     13706
                                                                 1,771          53       X   X 28-5284        53
                                                                   635          19       X     28-11135       19
GMX RES INC                    COM            38011M108            325          50       X   X 28-5284        50
GMARKET INC                    SPON ADR       38012G100          6,531         398       X   X 28-5284       398
GOL LINHAS AEREAS INTLG S A    SP ADR REP PFD 38045R107            566         200       X   X 28-5284       200
GOLD FIELDS LTD NEW            SPONSORED ADR  38059T106         24,665       2,175       X     28-5284                        2175
                                                                80,480       7,097       X   X 28-5284       297              6800
GOLD RESV INC                  NOTE  5.500% 6 38068NAB4        158,500       4,000       X     28-4580      4000
GOLDCORP INC NEW               COM            380956409         73,304       2,200       X     28-5284      2000               200
                                                               180,228       5,409       X   X 28-5284      4409              1000
                                                                99,960       3,000       X     28-4580      3000
GOLDEN STAR RES LTD CDA        COM            38119T104          1,460       1,000       X     28-5284      1000
GOLDMAN SACHS GROUP INC        COM            38141G104     29,000,075     273,534       X     28-5284    264780       160    8594
                                                            14,224,597     134,169       X   X 28-5284    126995      2730    4444
                                                            12,251,671     115,560       X     28-12474   106916              8644
                                                             3,129,286      29,516       X   X 28-12474    26126       619    2771
                                                               512,395       4,833       X     28-11135     4833
                                                               647,464       6,107       X     28-4580      6004               103
                                                               358,136       3,378       X   X 28-4580      3378
GOLF TR AMER INC               COM            38168B103          9,200       8,000       X   X 28-5284                8000
GOODRICH CORP                  COM            382388106      3,120,848      82,366       X     28-5284     79741              2625
                                                             2,486,380      65,621       X   X 28-5284     56183      2335    7103
                                                               149,628       3,949       X     28-12474     2509              1440
                                                                11,026         291       X   X 28-12474      291
                                                               136,442       3,601       X     28-11135     3601
                                                                 9,473         250       X     28-4580       250
                                                                15,156         400       X   X 28-4580       400
GOODRICH PETE CORP             COM NEW        382410405        214,064      11,057       X     28-11135    11057
   COLUMN TOTAL                                             67,362,567







                                                                                                                  FILE NO. 28-1235
PAGE  96 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
GOODYEAR TIRE & RUBR CO        COM            382550101         19,525       3,119       X     28-5284      3119
                                                                 4,006         640       X   X 28-5284       640
                                                               191,168      30,538       X     28-11135    30538
GOOGLE INC                     CL A           38259P508     16,566,960      47,598       X     28-5284     44310              3288
                                                             6,082,349      17,475       X   X 28-5284     15535       280    1660
                                                            13,192,170      37,902       X     28-12474    35071              2831
                                                             3,421,778       9,831       X   X 28-12474     8786       237     808
                                                               710,042       2,040       X     28-11135     2040
                                                               414,191       1,190       X     28-4580      1160                30
                                                                66,131         190       X   X 28-4580       190
GORMAN RUPP CO                 COM            383082104         75,062       3,791       X     28-5284      3791
GRACE W R & CO DEL NEW         COM            38388F108         10,573       1,673       X   X 28-5284       820               853
GRACO INC                      COM            384109104        162,677       9,530       X     28-5284      8620               910
                                                               825,505      48,360       X   X 28-5284     19500             28860
GRAFTECH INTL LTD              COM            384313102          1,232         200       X     28-5284       200
                                                                   973         158       X   X 28-5284       158
                                                                25,435       4,129       X     28-11135     4129
GRAINGER W W INC               COM            384802104      1,877,876      26,758       X     28-5284     23728              3030
                                                             2,373,909      33,826       X   X 28-5284     22599       800   10427
                                                                 3,790          54       X     28-11135       54
GRAMERCY CAP CORP              COM            384871109            485         500       X     28-5284       500
                                                                 3,880       4,000       X   X 28-5284      4000
                                                                74,069      76,360       X     28-12474    76360
                                                                21,286      21,944       X   X 28-12474    21944
GREAT ATLANTIC & PAC TEA INC   COM            390064103          1,274         240       X     28-5284                         240
                                                                 5,491       1,034       X   X 28-5284      1012        22
GREAT NORTHN IRON ORE PPTYS    CTFS BEN INT   391064102          7,600          95       X     28-5284        95
GREAT PLAINS ENERGY INC        COM            391164100        190,452      14,139       X     28-5284     10799              3340
                                                                75,890       5,634       X   X 28-5284      4784               850
GREAT WOLF RESORTS INC         COM            391523107            233         100       X   X 28-5284       100
   COLUMN TOTAL                                             46,406,012







                                                                                                                  FILE NO. 28-1235
PAGE  97 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
GREATER CHINA FD INC           COM            39167B102         17,015       2,098       X     28-5284      2098
                                                                 9,943       1,226       X   X 28-5284      1226
GREEN MTN COFFEE ROASTERS IN   COM            393122106        242,400       5,050       X   X 28-5284      5050
GREENHILL & CO INC             COM            395259104          2,659          36       X     28-5284        36
                                                                32,789         444       X     28-11135      444
GREIF INC                      CL A           397624107         32,158         966       X     28-11135      966
GRIFFON CORP                   COM            398433102          2,790         372       X     28-5284         2               370
                                                                17,325       2,310       X   X 28-5284      2310
GROUP 1 AUTOMOTIVE INC         COM            398905109          2,794         200       X     28-5284                         200
GRUBB & ELLIS CO               COM PAR $0.01  400095204            956       1,518       X     28-5284      1518
GRUPO TELEVISA SA DE CV        SP ADR REP ORD 40049J206         12,685         930       X     28-5284       930
                                                                 2,728         200       X   X 28-5284                         200
                                                                 2,455         180       X     28-11135      180
GRUPO TMM S A B                SP ADR A SHS   40051D105         25,500      30,000       X   X 28-5284     30000
GUANGSHEN RY LTD               SPONSORED ADR  40065W107          2,785         172       X     28-5284       172
GUARANTY FINL GROUP INC        COM            40108N106            308         293       X     28-5284       293
GUESS INC                      COM            401617105          9,549         453       X     28-5284       173               280
                                                                   506          24       X   X 28-5284        24
                                                                 2,572         122       X     28-11135      122
GULF ISLAND FABRICATION INC    COM            402307102         84,546      10,555       X     28-11135    10555
GULFMARK OFFSHORE INC          COM            402629109         11,930         500       X   X 28-5284       500
                                                                29,730       1,246       X     28-11135     1246
GUSHAN ENVIRONMENTAL ENRGY L   SPON ADR       40330W106         10,140       6,000       X   X 28-5284      6000
GYMBOREE CORP                  COM            403777105          5,338         250       X     28-5284                         250
                                                                 1,729          81       X   X 28-5284        81
                                                                31,897       1,494       X     28-11135     1494
H & E EQUIPMENT SERVICES INC   COM            404030108          6,950       1,061       X     28-5284      1061
   COLUMN TOTAL                                                602,177







                                                                                                                  FILE NO. 28-1235
PAGE  98 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
H & Q HEALTHCARE FD            SH BEN INT     404052102          4,481         445       X     28-5284       445
H & Q LIFE SCIENCES INVS       SH BEN INT     404053100         56,441       7,236       X     28-5284      7236
                                                                 7,738         992       X   X 28-5284       992
HCC INS HLDGS INC              COM            404132102        107,486       4,267       X     28-5284      1927              2340
                                                               643,479      25,545       X   X 28-5284     25500                45
                                                                67,333       2,673       X     28-12474     2673
HCP INC                        COM            40414L109        217,484      12,184       X     28-5284     11304               880
                                                               752,128      42,136       X   X 28-5284     33836              8300
                                                               853,944      47,840       X     28-12474    47840
                                                                21,599       1,210       X   X 28-12474     1210
HDFC BANK LTD                  ADR REPS 3 SHS 40415F101          2,011          33       X     28-5284        33
                                                                   244           4       X   X 28-5284         4
HLTH CORPORATION               COM            40422Y101            176          17       X     28-5284        17
                                                                    72           7       X   X 28-5284         7
HMS HLDGS CORP                 COM            40425J101          5,231         159       X   X 28-5284       159
HNI CORP                       COM            404251100         49,223       4,733       X     28-5284      4733
                                                                49,920       4,800       X   X 28-5284      4800
HRPT PPTYS TR                  COM SH BEN INT 40426W101         23,877       7,485       X     28-5284      7485
                                                                23,287       7,300       X   X 28-5284      5800              1500
                                                               151,174      47,390       X   X 28-12474    47390
                                                                31,900      10,000       X   X 28-4580     10000
HRPT PPTYS TR                  PFD CONV D     40426W507      1,270,045     138,500       X     28-11439   138500
HSBC HLDGS PLC                 SPON ADR NEW   404280406        326,675      11,576       X     28-5284     11121               455
                                                               244,921       8,679       X   X 28-5284      7877               802
                                                                52,659       1,866       X     28-11135     1866
                                                                 1,213          43       X     28-4580        43
                                                               112,880       4,000       X   X 28-4580      4000
HSBC HLDGS PLC                 ADR A 1/40PF A 404280604         38,714       2,600       X     28-5284      2600
                                                                20,846       1,400       X   X 28-5284      1400
HSN INC                        COM            404303109            108          21       X     28-5284        21
   COLUMN TOTAL                                              5,137,289







                                                                                                                  FILE NO. 28-1235
PAGE  99 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
HAEMONETICS CORP               COM            405024100         11,567         210       X     28-5284                         210
                                                                17,956         326       X   X 28-5284       326
                                                                 2,809          51       X     28-11135       51
HAIN CELESTIAL GROUP INC       COM            405217100          4,699         330       X     28-5284                         330
                                                                 8,544         600       X   X 28-5284       600
                                                                   926          65       X     28-11135       65
HALLIBURTON CO                 COM            406216101      3,587,710     231,914       X     28-5284    173322             58592
                                                             3,616,979     233,806       X   X 28-5284    210348      1200   22258
                                                                87,622       5,664       X     28-12474     3554              2110
                                                                 6,188         400       X   X 28-12474      400
                                                                21,643       1,399       X     28-11135     1399
                                                                12,546         811       X     28-4580       811
                                                                49,504       3,200       X   X 28-4580      3200
HAMPTON ROADS BANKSHARES INC   COM            409321106         30,288       3,888       X     28-5284      3888
                                                             1,216,642     156,180       X   X 28-5284    140000             16180
JOHN HANCOCK BK &THRIFT OPP    SH BEN INT NEW 409735206         10,374         965       X     28-5284       965
                                                                43,000       4,000       X     28-11135     4000
HANCOCK HLDG CO                COM            410120109            563          18       X   X 28-5284        18
HANCOCK JOHN INCOME SECS TR    COM            410123103          3,027         300       X     28-5284       300
                                                               117,044      11,600       X   X 28-5284                       11600
HANCOCK JOHN PATRIOT PREM II   COM SH BEN INT 41013T105          7,085       1,121       X     28-5284      1121
HANCOCK JOHN INVS TR           COM            410142103        124,902       9,000       X   X 28-5284                        9000
HANCOCK JOHN PFD INCOME FD I   COM            41021P103          6,514         736       X     28-5284       736
HANESBRANDS INC                COM            410345102         83,498       8,725       X     28-5284      8705                20
                                                                93,030       9,721       X   X 28-5284      9690                31
HANGER ORTHOPEDIC GROUP INC    COM NEW        41043F208         32,860       2,480       X     28-11135     2480
HANOVER CAP MTG HLDGS INC      COM            410761100            400       2,104       X   X 28-5284      2104
   COLUMN TOTAL                                              9,197,920







                                                                                                                  FILE NO. 28-1235
PAGE 100 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
HANOVER INS GROUP INC          COM            410867105        172,920       6,000       X     28-5284      6000
                                                                19,915         691       X   X 28-5284                         691
                                                                 8,041         279       X     28-11135      279
HANSEN NAT CORP                COM            411310105        255,060       7,085       X     28-5284      6745               340
                                                               425,880      11,830       X   X 28-5284     10080              1750
                                                                10,800         300       X     28-12474      300
HARLEY DAVIDSON INC            COM            412822108        410,805      30,680       X     28-5284     29350              1330
                                                               220,399      16,460       X   X 28-5284     13750      1710    1000
                                                                22,977       1,716       X     28-11135     1716
                                                                 2,009         150       X     28-4580       150
                                                                 8,998         672       X   X 28-4580       672
HARLEYSVILLE GROUP INC         COM            412824104         61,393       1,930       X     28-5284      1930
                                                                25,575         804       X   X 28-5284       804
HARLEYSVILLE NATL CORP PA      COM            412850109        986,726     162,826       X     28-5284    162826
                                                               410,947      67,813       X   X 28-5284     67813
HARMONIC INC                   COM            413160102          4,810         740       X     28-5284                         740
                                                               199,934      30,759       X     28-11135    30759
HARMONY GOLD MNG LTD           SPONSORED ADR  413216300         21,333       1,950       X     28-5284                        1950
HARRIS & HARRIS GROUP INC      COM            413833104            370         100       X   X 28-5284       100
HARRIS CORP DEL                COM            413875105        459,365      15,873       X     28-5284     15153               720
                                                               561,262      19,394       X   X 28-5284     13119       150    6125
                                                               272,268       9,408       X     28-11135     9408
HARRIS STRATEX NTWRKS INC      CL A           41457P106          9,625       2,500       X     28-5284      2500
HARSCO CORP                    COM            415864107         88,237       3,980       X     28-5284      3700               280
                                                               266,018      11,999       X   X 28-5284     10999              1000
HARRY WINSTON DIAMOND CORP     COM            41587B100         51,840      18,000       X   X 28-5284               18000
HARTFORD FINL SVCS GROUP INC   COM            416515104        119,312      15,199       X     28-5284     13939              1260
                                                               253,594      32,305       X   X 28-5284     26897              5408
                                                               320,374      40,812       X     28-12474    40812
                                                                   471          60       X     28-11135       60
                                                                 1,060         135       X     28-4580       135
   COLUMN TOTAL                                              5,672,318







                                                                                                                  FILE NO. 28-1235
PAGE 101 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
HARTFORD INCOME SHS FD INC     COM            416537108         34,040       7,400       X   X 28-5284                        7400
HARVEST ENERGY TR              TRUST UNIT     41752X101         13,212       3,670       X     28-5284      3670
                                                                39,355      10,932       X   X 28-5284      2000      8000     932
HASBRO INC                     COM            418056107      2,439,186      97,295       X     28-5284     95840              1455
                                                               754,808      30,108       X   X 28-5284     19478      2530    8100
                                                                   501          20       X     28-12474       20
                                                               135,478       5,404       X     28-4580      5404
                                                                70,196       2,800       X   X 28-4580      2800
HATTERAS FINL CORP             COM            41902R103         24,990       1,000       X   X 28-5284      1000
HAUPPAUGE DIGITAL INC          COM            419131107         76,700      65,000       X   X 28-5284               65000
HAWAIIAN ELEC INDUSTRIES       COM            419870100        117,532       8,554       X     28-5284      8554
                                                               154,341      11,233       X   X 28-5284     11233
HEALTHSOUTH CORP               COM NEW        421924309            648          73       X     28-5284        73
HEALTH MGMT ASSOC INC NEW      CL A           421933102          7,043       2,730       X     28-5284      2155               575
                                                                 8,643       3,350       X   X 28-5284      2600               750
                                                               209,032      81,020       X     28-12474    81020
HEALTHCARE RLTY TR             COM            421946104         13,866         925       X     28-5284       925
                                                                46,124       3,077       X   X 28-5284      3077
HEADWATERS INC                 COM            42210P102            220          70       X     28-5284        70
                                                                 4,082       1,300       X   X 28-5284      1300
HEALTH CARE REIT INC           NOTE  4.750% 7 42217KAQ9      2,623,800       3,000       X     28-5284      3000
                                                             3,498,400       4,000       X     28-11439     4000
HEALTH CARE REIT INC           COM            42217K106        568,913      18,598       X     28-5284     18268       250      80
                                                               330,586      10,807       X   X 28-5284     10707               100
                                                               360,778      11,794       X     28-12474    10811               983
                                                               140,041       4,578       X   X 28-12474     4302               276
                                                                35,943       1,175       X   X 28-4580      1175
HEALTH NET INC                 COM            42222G108             14           1       X   X 28-5284         1
HEALTHSPRING INC               COM            42224N101            937         112       X   X 28-5284       112
   COLUMN TOTAL                                             11,709,409







                                                                                                                  FILE NO. 28-1235
PAGE 102 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
HEARST-ARGYLE TELEVISION INC   COM            422317107          8,986       2,160       X     28-5284                        2160
                                                                16,224       3,900       X   X 28-5284      3900
HEARTLAND EXPRESS INC          COM            422347104          6,413         433       X     28-5284                         433
HEARTLAND PMT SYS INC          COM            42235N108         37,003       5,598       X   X 28-5284      5598
HECLA MNG CO                   COM            422704106          3,250       1,625       X   X 28-5284      1625
HECLA MNG CO                   PFD CV SER B   422704205          8,400         200       X   X 28-5284                         200
HEICO CORP NEW                 COM            422806109          4,860         200       X   X 28-5284       200
HEIDRICK & STRUGGLES INTL IN   COM            422819102          2,661         150       X     28-5284                         150
                                                                43,463       2,450       X   X 28-5284      2450
                                                               178,731      10,075       X     28-11135    10075
HEINZ H J CO                   COM            423074103     27,362,506     827,662       X     28-5284    793916       410   33336
                                                            23,408,761     708,069       X   X 28-5284    666257      2697   39115
                                                             7,720,105     233,518       X     28-12474   216494             17024
                                                             1,822,763      55,135       X   X 28-12474    49096      1184    4855
                                                               345,279      10,444       X     28-11135    10444
                                                             1,327,458      40,153       X     28-4580     39973               180
                                                               804,185      24,325       X   X 28-4580     24325
HELIOS STRATEGIC MTG INCOME    COM            42327M109        128,044      23,800       X   X 28-5284                       23800
HELIOS TOTAL RETURN FD INC     COM            42327V109        163,072      36,400       X   X 28-5284                       36400
HELIX ENERGY SOLUTIONS GRP I   COM            42330P107            324          63       X   X 28-5284        63
HELLENIC TELECOM ORGANIZATN    SPONSORED ADR  423325307          4,420         580       X     28-5284       580
HELMERICH & PAYNE INC          COM            423452101         27,324       1,200       X     28-5284      1200
                                                                22,770       1,000       X   X 28-5284      1000
                                                                 3,916         172       X     28-11135      172
HENRY JACK & ASSOC INC         COM            426281101         29,817       1,827       X     28-5284      1827
                                                                17,952       1,100       X   X 28-5284       500               600
HERCULES OFFSHORE INC          COM            427093109            632         400       X     28-5284       400
   COLUMN TOTAL                                             63,499,319







                                                                                                                  FILE NO. 28-1235
PAGE 103 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
HERCULES TECH GROWTH CAP INC   COM            427096508          5,500       1,100       X     28-5284      1100
HERSHA HOSPITALITY TR          SH BEN INT A   427825104         81,083      42,675       X     28-12474    42675
                                                                 2,052       1,080       X   X 28-12474     1080
HERSHEY CO                     COM            427866108      2,261,183      65,070       X     28-5284     47124             17946
                                                             9,355,986     269,237       X   X 28-5284    265347              3890
                                                                27,418         789       X     28-4580       789
                                                                19,113         550       X   X 28-4580       550
HERTZ GLOBAL HOLDINGS INC      COM            42805T105          1,069         272       X     28-5284       272
                                                                 3,576         910       X   X 28-5284       910
HESS CORP                      COM            42809H107        198,697       3,666       X     28-5284      2746               920
                                                               270,024       4,982       X   X 28-5284      4381       501     100
                                                                10,298         190       X   X 28-4580       190
HEWITT ASSOCS INC              COM            42822Q100          2,143          72       X   X 28-5284        72
HEWLETT PACKARD CO             COM            428236103     47,797,869   1,490,888       X     28-5284   1430121             60767
                                                            52,664,802   1,642,695       X   X 28-5284   1534174     19284   89237
                                                               639,308      19,941       X     28-11135    19941
                                                             1,329,592      41,472       X     28-4580     40982               490
                                                             2,416,907      75,387       X   X 28-4580     75387
HEXCEL CORP NEW                COM            428291108         17,227       2,622       X     28-5284      2622
HIGH YIELD PLUS FD INC         COM            429906100          2,354       1,000       X     28-5284      1000
HIGHWOODS PPTYS INC            COM            431284108        162,792       7,600       X     28-5284      7600
                                                                   193           9       X   X 28-5284         9
                                                               116,653       5,446       X     28-11135     5446
HILL INTERNATIONAL INC         COM            431466101          3,040       1,000       X   X 28-5284      1000
HILL ROM HLDGS INC             COM            431475102      1,029,539     104,099       X     28-5284     14219             89880
                                                             2,626,131     265,534       X   X 28-5284    179110     36424   50000
HILLENBRAND INC                COM            431571108      1,651,255     103,139       X     28-5284     13619             89520
                                                             4,267,209     266,534       X   X 28-5284    180109     36425   50000
HIRSCH INTL CORP               CL A           433550100        118,488     493,702       X   X 28-5284              493702
   COLUMN TOTAL                                            127,081,501







                                                                                                                  FILE NO. 28-1235
PAGE 104 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
HITACHI LIMITED                ADR 10 COM     433578507          2,086          76       X     28-5284        76
                                                                 3,980         145       X   X 28-5284       145
HITTITE MICROWAVE CORP         COM            43365Y104          7,145         229       X   X 28-5284       229
HOLLY CORP                     COM PAR $0.01  435758305          3,456         163       X     28-11135      163
HOLLY ENERGY PARTNERS L P      COM UT LTD PTN 435763107         70,350       3,000       X     28-5284      3000
HOLLIS-EDEN PHARMACEUTICALS    COM            435902101          3,360       7,000       X     28-5284      7000
                                                                 1,440       3,000       X   X 28-5284      3000
HOLOGIC INC                    COM            436440101         90,936       6,947       X     28-5284      6947
                                                                 5,236         400       X   X 28-5284       400
                                                                94,680       7,233       X     28-11135     7233
                                                                 5,236         400       X     28-4580       400
HOME DEPOT INC                 COM            437076102     11,366,239     482,438       X     28-5284    453899             28539
                                                            11,589,376     491,909       X   X 28-5284    406211     12343   73355
                                                               475,017      20,162       X     28-12474    17292              2870
                                                                12,958         550       X   X 28-12474      550
                                                                33,479       1,421       X     28-11135     1421
                                                               503,689      21,379       X     28-4580     21379
                                                               309,814      13,150       X   X 28-4580     13150
HOME DIAGNOSTICS INC DEL       COM            437080104        113,547      20,026       X     28-11135    20026
HOME PROPERTIES INC            COM            437306103        405,959      13,245       X     28-5284       245             13000
HONDA MOTOR LTD                AMERN SHS      438128308        224,060       9,454       X     28-5284      8674               780
                                                               165,497       6,983       X   X 28-5284      6333               650
                                                                 7,110         300       X     28-4580       300
HONEYWELL INTL INC             COM            438516106      5,919,219     212,463       X     28-5284    186650       300   25513
                                                             4,781,668     171,632       X   X 28-5284    137724       215   33693
                                                               296,208      10,632       X     28-12474     9748               884
                                                               114,477       4,109       X   X 28-12474     3861               248
                                                               197,945       7,105       X     28-11135     7105
                                                                22,985         825       X     28-4580       825
                                                               194,769       6,991       X   X 28-4580      6991
HORIZON LINES INC              COM            44044K101          3,636       1,200       X     28-5284      1200
   COLUMN TOTAL                                             37,025,557







                                                                                                                  FILE NO. 28-1235
PAGE 105 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
HORMEL FOODS CORP              COM            440452100        163,307       5,150       X     28-5284      5150
                                                               708,719      22,350       X   X 28-5284      4595             17755
                                                                47,565       1,500       X     28-4580      1500
HOSPITALITY PPTYS TR           COM SH BEN INT 44106M102         37,464       3,122       X     28-5284      3122
                                                                70,800       5,900       X   X 28-5284      2800              3100
                                                               373,440      31,120       X   X 28-12474    31120
HOSPIRA INC                    COM            441060100        483,669      15,673       X     28-5284     15194               479
                                                               950,982      30,816       X   X 28-5284     24446       600    5770
                                                                 1,759          57       X     28-11135       57
                                                               197,566       6,402       X   X 28-4580      6402
HOST HOTELS & RESORTS INC      COM            44107P104          5,868       1,497       X     28-5284      1497
                                                                21,211       5,411       X   X 28-5284      5411
                                                               458,648     117,002       X     28-12474   117002
                                                                19,510       4,977       X   X 28-12474     4977
                                                                71,564      18,256       X     28-11135    18256
HOT TOPIC INC                  COM            441339108          3,693         330       X     28-5284                         330
HOUSTON WIRE & CABLE CO        COM            44244K109         12,400       1,600       X   X 28-5284      1600
HOVNANIAN ENTERPRISES INC      CL A           442487203            156         100       X     28-5284       100
                                                                   624         400       X   X 28-5284       400
HUANENG PWR INTL INC           SPON ADR H SHS 443304100         28,944       1,078       X     28-5284        78              1000
                                                                21,480         800       X   X 28-5284       800
HUBBELL INC                    CL A           443510102         35,500       1,384       X     28-5284      1384
                                                               422,994      16,491       X   X 28-5284     10541              5950
HUBBELL INC                    CL B           443510201        189,933       7,045       X     28-5284      1745              5300
                                                               566,133      20,999       X   X 28-5284     17759              3240
                                                                 1,510          56       X     28-11135       56
HUDSON CITY BANCORP            COM            443683107      9,213,731     788,172       X     28-5284    739142      1070   47960
                                                             3,405,122     291,285       X   X 28-5284    220770     50260   20255
                                                             9,267,575     792,778       X     28-12474   734066             58712
                                                             2,276,405     194,731       X   X 28-12474   173826      4043   16862
                                                                11,000         941       X     28-11135      941
                                                               445,705      38,127       X     28-4580     37367               760
                                                               171,294      14,653       X   X 28-4580     13153      1500
   COLUMN TOTAL                                             29,686,271







                                                                                                                  FILE NO. 28-1235
PAGE 106 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
HUGOTON RTY TR TEX             UNIT BEN INT   444717102         32,160       3,364       X     28-5284      3364
                                                                   468          49       X   X 28-5284        49
HUMANA INC                     COM            444859102        235,163       9,017       X     28-5284      8397               620
                                                               416,211      15,959       X   X 28-5284     15959
                                                               119,629       4,587       X     28-11135     4587
HUMAN GENOME SCIENCES INC      COM            444903108          1,245       1,500       X     28-5284      1500
                                                                   166         200       X   X 28-5284       200
HUNT J B TRANS SVCS INC        COM            445658107          1,808          75       X     28-5284        75
                                                                   145           6       X   X 28-5284         6
                                                                11,404         473       X     28-11135      473
HUNTINGTON BANCSHARES INC      COM            446150104        121,774      73,358       X     28-5284     59578             13780
                                                                98,866      59,558       X   X 28-5284     59558
                                                                17,805      10,726       X   X 28-4580     10726
HUNTSMAN CORP                  COM            447011107          4,116       1,315       X     28-5284      1315
                                                                15,650       5,000       X   X 28-5284      5000
HURON CONSULTING GROUP INC     COM            447462102            636          15       X     28-11135       15
HUTCHINSON TECHNOLOGY INC      COM            448407106            520         200       X     28-5284                         200
HYDROGENICS CORP               COM            448882100            342         787       X   X 28-5284       787
IAC INTERACTIVECORP            COM PAR $.001  44919P508          5,331         350       X     28-5284        90               260
                                                                 4,493         295       X   X 28-5284       295
ICO GLOBAL COMM HLDGS LTD DE   CL A           44930K108            607       1,735       X     28-5284      1735
ICAD INC                       COM            44934S107            182         200       X   X 28-5284       200
ICX TECHNOLOGIES INC           COM            44934T105        327,272      80,808       X   X 28-5284     80808
ING PRIME RATE TR              SH BEN INT     44977W106          2,915         840       X     28-5284       840
                                                                10,410       3,000       X   X 28-5284      3000
ING CLARION REAL EST INCOME    COM SHS        449788108          3,872       1,600       X     28-5284      1600
ING CLARION GLB RE EST INCM    COM            44982G104         27,256       8,598       X     28-5284      6164              2434
                                                                 3,170       1,000       X   X 28-5284      1000
   COLUMN TOTAL                                              1,463,616







                                                                                                                  FILE NO. 28-1235
PAGE 107 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
ING ASIA PAC HGH DIVID EQ IN   COM            44983J107          5,925         500       X     28-5284       500
IMS HEALTH INC                 COM            449934108        288,768      23,157       X     28-5284     20757              2400
                                                               215,644      17,293       X   X 28-5284     17293
                                                                 9,976         800       X   X 28-4580       800
ISTAR FINL INC                 COM            45031U101          2,810       1,000       X     28-5284      1000
                                                                 2,810       1,000       X   X 28-5284      1000
ITT EDUCATIONAL SERVICES INC   COM            45068B109        105,514         869       X     28-5284       869
                                                               151,775       1,250       X   X 28-5284      1250
IVAX DIAGNOSTICS INC           COM            45070W109         47,652     144,400       X   X 28-5284              144400
IBASIS INC                     COM NEW        450732201         63,964      95,468       X   X 28-5284               95468
ITT CORP NEW                   COM            450911102     22,540,381     585,921       X     28-5284    560881       330   24710
                                                            11,651,640     302,876       X   X 28-5284    286011      7735    9130
                                                            11,153,299     289,922       X     28-12474   269307             20615
                                                             2,767,917      71,950       X   X 28-12474    64454      1558    5938
                                                                 4,193         109       X     28-11135      109
                                                               494,840      12,863       X     28-4580     12623               240
                                                               389,893      10,135       X   X 28-4580     10135
ICON PUB LTD CO                SPONSORED ADR  45103T107          1,292          80       X     28-5284        80
ICICI BK LTD                   ADR            45104G104         37,212       2,800       X     28-5284      1400              1400
                                                                10,632         800       X   X 28-5284       800
ICONIX BRAND GROUP INC         COM            451055107          4,275         483       X   X 28-5284       483
ICAHN ENTERPRISES LP           DEPOSITRY UNIT 451100101         20,254         779       X     28-5284       779
                                                                 2,314          89       X   X 28-5284        89
IDACORP INC                    COM            451107106         12,848         550       X     28-5284       550
                                                                22,589         967       X   X 28-5284       667               300
IDEX CORP                      COM            45167R104          4,899         224       X   X 28-5284       224
IDEXX LABS INC                 COM            45168D104         73,033       2,112       X     28-5284      1032              1080
                                                             1,089,996      31,521       X   X 28-5284     11146             20375
                                                                11,896         344       X     28-11135      344
   COLUMN TOTAL                                             51,188,241







                                                                                                                  FILE NO. 28-1235
PAGE 108 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
IGATE CORP                     COM            45169U105         12,960       4,000       X     28-5284      4000
                                                                 4,860       1,500       X   X 28-5284      1500
IHS INC                        CL A           451734107          7,330         178       X     28-11135      178
ILLINOIS TOOL WKS INC          COM            452308109     16,978,575     550,359       X     28-5284    519237             31122
                                                            13,268,462     430,096       X   X 28-5284    363170      1500   65426
                                                                37,020       1,200       X     28-12474     1200
                                                               557,460      18,070       X     28-4580     18070
                                                               397,225      12,876       X   X 28-4580     12876
ILLUMINA INC                   COM            452327109         32,399         870       X     28-5284       870
                                                                   708          19       X   X 28-5284        19
IMATION CORP                   COM            45245A107         12,730       1,664       X   X 28-5284      1664
IMAX CORP                      COM            45245E109          2,155         500       X     28-5284       500
                                                                21,550       5,000       X   X 28-5284      5000
IMMUCOR INC                    COM            452526106          5,785         230       X   X 28-5284       230
                                                                42,177       1,677       X     28-11135     1677
IMMUNOGEN INC                  COM            45253H101         14,200       2,000       X     28-5284      2000
                                                                10,650       1,500       X   X 28-5284      1500
IMPERIAL OIL LTD               COM NEW        453038408        216,661       6,010       X     28-5284      6010
                                                               942,708      26,150       X   X 28-5284     11750             14400
INCONTACT INC                  COM            45336E109         22,500      10,000       X   X 28-5284     10000
INCYTE CORP                    COM            45337C102            234         100       X     28-5284       100
INDIA FD INC                   COM            454089103         59,695       3,526       X     28-5284      3401               125
                                                               260,417      15,382       X   X 28-5284     15382
INDUSTRIAS BACHOCO S A B DE    SPON ADR B     456463108          2,271         200       X     28-5284       200
INERGY L P                     UNIT LTD PTNR  456615103          2,192         100       X     28-5284       100
                                                                21,920       1,000       X   X 28-5284                        1000
INFINEON TECHNOLOGIES AG       SPONSORED ADR  45662N103          1,089         964       X     28-5284       964
                                                                 2,401       2,125       X   X 28-5284      2125
   COLUMN TOTAL                                             32,938,334







                                                                                                                  FILE NO. 28-1235
PAGE 109 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
INFOCUS CORP                   COM            45665B106        956,966   1,597,606       X   X 28-5284             1597606
INFORMATICA CORP               COM            45666Q102          1,870         141       X     28-5284       141
                                                                 4,548         343       X   X 28-5284       343
INFOLOGIX INC                  COM            45668X105         43,750     125,000       X     28-5284    125000
INFOSPACE INC                  COM NEW        45678T201          2,600         500       X   X 28-5284                 500
INFOSYS TECHNOLOGIES LTD       SPONSORED ADR  456788108         29,772       1,118       X     28-5284       118              1000
                                                                26,630       1,000       X   X 28-5284                        1000
                                                                 1,278          48       X     28-11135       48
ING GROEP N V                  SPONSORED ADR  456837103         10,809       1,987       X     28-5284       987              1000
                                                                   120          22       X   X 28-5284        22
                                                               130,919      24,066       X     28-11135    24066
                                                                   544         100       X     28-4580       100
ING GLOBAL EQTY DIV & PREM O   COM            45684E107         28,647       3,107       X     28-5284      3107
INGLES MKTS INC                CL A           457030104             90           6       X     28-11135        6
INGRAM MICRO INC               CL A           457153104          2,111         167       X   X 28-5284       167
INHIBITEX INC                  COM            45719T103        171,929     684,978       X   X 28-5284              684978
INLAND REAL ESTATE CORP        COM NEW        457461200          1,418         200       X     28-5284       200
INSIGHT ENTERPRISES INC        COM            45765U103          1,163         380       X     28-5284                         380
INSITUFORM TECHNOLOGIES INC    CL A           457667103          4,692         300       X     28-5284                         300
INNOSPEC INC                   COM            45768S105          2,978         790       X     28-5284       790
                                                                   377         100       X   X 28-5284                         100
INNOVATIVE SOLUTIONS & SUPPO   COM            45769N105          6,300       1,500       X     28-5284      1500
INNOPHOS HOLDINGS INC          COM            45774N108          1,241         110       X   X 28-5284       110
INSTEEL INDUSTRIES INC         COM            45774W108          5,568         800       X     28-5284       800
INTEGRA LIFESCIENCES HLDGS C   COM NEW        457985208        281,808      11,400       X     28-5284     11400
                                                                 7,416         300       X   X 28-5284       300
   COLUMN TOTAL                                              1,725,544







                                                                                                                  FILE NO. 28-1235
PAGE 110 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
INSWEB CORP                    COM NEW        45809K202        524,703     251,054       X   X 28-5284              251054
INTEGRATED SILICON SOLUTION    COM            45812P107        947,637     627,574       X   X 28-5284              627574
INTEL CORP                     COM            458140100     64,971,579   4,322,793       X     28-5284   4154194       580  168019
                                                            71,919,151   4,785,040       X   X 28-5284   4258033     70419  456588
                                                             8,586,278     571,276       X     28-12474   532805             38471
                                                             2,000,508     133,101       X   X 28-12474   120011      2721   10369
                                                               959,320      63,827       X     28-11135    63827
                                                             1,233,768      82,087       X     28-4580     81677               410
                                                             1,204,880      80,165       X   X 28-4580     79865       300
INTEGRYS ENERGY GROUP INC      COM            45822P105        156,552       6,012       X     28-5284      5412               600
                                                               440,493      16,916       X   X 28-5284     16916
                                                                52,080       2,000       X   X 28-4580      2000
INTER PARFUMS INC              COM            458334109            496          85       X     28-11135       85
INTERACTIVE BROKERS GROUP IN   COM            45841N107          1,403          87       X   X 28-5284        87
                                                                24,905       1,544       X     28-11135     1544
INTERCONTINENTALEXCHANGE INC   COM            45865V100        609,984       8,191       X     28-5284      7045              1146
                                                                21,596         290       X   X 28-5284       290
                                                                14,894         200       X     28-11135      200
INTERFACE INC                  CL A           458665106          1,316         440       X     28-5284                         440
                                                                14,950       5,000       X   X 28-5284      5000
INTERDIGITAL INC               COM            45867G101            439          17       X   X 28-5284        17
INTERMEC INC                   COM            458786100          5,200         500       X     28-5284       500
                                                                 8,320         800       X   X 28-5284       800
INTERNAP NETWORK SVCS CORP     COM PAR $.001  45885A300         13,528       5,029       X   X 28-5284      5029
INTERNATIONAL BUSINESS MACHS   COM            459200101    115,378,647   1,190,821       X     28-5284   1134019       120   56682
                                                           162,804,170   1,680,299       X   X 28-5284   1517651     13760  148888
                                                            18,712,366     193,130       X     28-12474   181208             11922
                                                             4,103,776      42,355       X   X 28-12474    38650       719    2986
                                                             1,484,452      15,321       X     28-11135    15321
                                                             4,943,328      51,020       X     28-4580     50920               100
                                                             5,321,296      54,921       X   X 28-4580     54921
   COLUMN TOTAL                                            466,462,015







                                                                                                                  FILE NO. 28-1235
PAGE 111 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
INTERNATIONAL COAL GRP INC N   COM            45928H106          3,220       2,000       X     28-5284      2000
                                                               165,025     102,500       X   X 28-5284    102500
INTERNATIONAL FLAVORS&FRAGRA   COM            459506101        201,158       6,604       X     28-5284      2434              4170
                                                               160,798       5,279       X   X 28-5284      3200              2079
INTERNATIONAL GAME TECHNOLOG   COM            459902102         67,343       7,304       X     28-5284      6184              1120
                                                                56,242       6,100       X   X 28-5284      6100
                                                               140,882      15,280       X     28-12474    15280
INTL PAPER CO                  COM            460146103        726,387     103,180       X     28-5284     95689              7491
                                                               560,018      79,548       X   X 28-5284     76226       140    3182
                                                               107,466      15,265       X     28-11135    15265
                                                                 9,666       1,373       X     28-4580      1373
                                                                16,896       2,400       X   X 28-4580      2400
INTERNATIONAL RECTIFIER CORP   COM            460254105         27,020       2,000       X     28-5284      2000
                                                                44,867       3,321       X     28-11135     3321
INTERNATIONAL SHIPHOLDING CO   COM NEW        460321201         59,620       3,031       X     28-5284      3031
INTERNATIONAL SPEEDWAY CORP    CL A           460335201          2,206         100       X   X 28-5284       100
INTERNET CAP GROUP INC         COM NEW        46059C205         21,153       5,249       X     28-5284      5249
                                                                 2,934         728       X   X 28-5284         3       725
INTERSIL CORP                  CL A           46069S109          1,725         150       X     28-5284       150
                                                                 6,900         600       X   X 28-5284       600
INTERPUBLIC GROUP COS INC      COM            460690100         25,639       6,223       X     28-5284      6223
                                                                     8           2       X   X 28-5284         2
INTERVAL LEISURE GROUP INC     COM            46113M108            111          21       X     28-5284        21
                                                                 8,342       1,574       X     28-11135     1574
INTEST CORP                    COM            461147100         39,292     178,598       X     28-5284    178598
INTUITIVE SURGICAL INC         COM NEW        46120E602      1,156,049      12,123       X     28-5284     10907              1216
                                                               903,059       9,470       X   X 28-5284      7415      1555     500
                                                                   381           4       X   X 28-12474        4
                                                                14,876         156       X     28-11135      156
                                                                   381           4       X     28-4580         4
   COLUMN TOTAL                                              4,529,664







                                                                                                                  FILE NO. 28-1235
PAGE 112 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
INTUIT                         COM            461202103        199,800       7,400       X     28-5284      5620              1780
                                                             1,185,678      43,914       X   X 28-5284     43254               660
                                                                 9,315         345       X     28-11135      345
INVACARE CORP                  COM            461203101          4,328         270       X     28-5284                         270
INTREPID POTASH INC            COM            46121Y102          3,690         200       X     28-5284       200
INVENTIV HEALTH INC            COM            46122E105         54,484       6,677       X     28-11135     6677
                                                                 1,289         158       X     28-4580       158
INVERNESS MED INNOVATIONS IN   COM            46126P106            932          35       X     28-5284        35
                                                               117,039       4,395       X     28-11135     4395
INVERNESS MED INNOVATIONS IN   PFD CONV SER B 46126P304         11,703          70       X   X 28-5284        70
INVESTMENT TECHNOLOGY GRP NE   COM            46145F105         22,202         870       X     28-5284        50               820
                                                                 2,603         102       X   X 28-5284       102
                                                                30,752       1,205       X     28-11135     1205
INVITROGEN CORP                NOTE  1.500% 2 46185RAK6        356,500       4,000       X     28-5284      4000
IOWA TELECOMM SERVICES INC     COM            462594201         17,648       1,540       X     28-5284      1540
                                                                11,460       1,000       X   X 28-5284      1000
IROBOT CORP                    COM            462726100         22,800       3,000       X   X 28-5284                        3000
IRON MTN INC                   COM            462846106        444,087      20,031       X     28-5284     19164               867
                                                               512,127      23,100       X   X 28-5284     10875             12225
                                                                 3,436         155       X     28-11135      155
ISHARES SILVER TRUST           ISHARES        46428Q109        109,521       8,563       X     28-5284      8563
                                                               221,919      17,351       X   X 28-5284     17351
                                                               127,900      10,000       X     28-4580     10000
ISHARES S&P GSCI COMMODITY I   UNIT BEN INT   46428R107         50,033       1,987       X     28-5284      1987
                                                               120,285       4,777       X   X 28-5284      2198              2579
ISHARES COMEX GOLD TR          ISHARES        464285105      1,248,105      13,808       X     28-5284     13808
                                                             6,381,444      70,599       X   X 28-5284     70599
ISHARES INC                    MSCI AUSTRALIA 464286103          6,695         500       X     28-5284       500
                                                               169,049      12,625       X   X 28-5284     12625
   COLUMN TOTAL                                             11,446,824







                                                                                                                  FILE NO. 28-1235
PAGE 113 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
ISHARES INC                    MSCI AUSTRIA I 464286202          5,408         440       X     28-5284       440
                                                                16,702       1,359       X   X 28-5284      1359
ISHARES INC                    MSCI BRAZIL    464286400         74,985       1,989       X     28-5284      1989
                                                               291,157       7,723       X   X 28-5284      7723
ISHARES INC                    MSCI CDA INDEX 464286509        106,611       6,477       X     28-5284      6477
                                                               201,339      12,232       X   X 28-5284     12232
ISHARES INC                    MSCI EMU INDEX 464286608      2,427,460      99,080       X     28-5284     99080
                                                               527,608      21,535       X   X 28-5284     20735       800
                                                                    98           4       X     28-11135        4
                                                               496,615      20,270       X     28-4580     20270
                                                               520,307      21,237       X   X 28-4580     19837              1400
ISHARES INC                    MSCI CHILE INV 464286640          3,452         100       X   X 28-5284                         100
ISHARES INC                    MSCI BRIC INDX 464286657         64,780       2,610       X     28-5284      2610
                                                               307,321      12,382       X   X 28-5284     12382
ISHARES INC                    MSCI PAC J IDX 464286665     22,165,522     899,940       X     28-5284    895866              4074
                                                             3,274,903     132,964       X   X 28-5284    128807       303    3854
                                                               810,130      32,892       X     28-11135    32892
                                                             1,554,202      63,102       X     28-4580     61902              1200
                                                             1,902,643      77,249       X   X 28-4580     73349              3900
ISHARES INC                    MSCI SINGAPORE 464286673         34,650       5,500       X     28-5284      5500
                                                                48,510       7,700       X   X 28-5284      6800               900
                                                                 2,520         400       X   X 28-4580       400
ISHARES INC                    MSCI UTD KINGD 464286699         22,584       2,155       X     28-5284      2155
ISHARES INC                    MSCI FRANCE    464286707         21,311       1,239       X     28-5284      1239
ISHARES INC                    MSCI TAIWAN    464286731         57,620       7,140       X     28-5284      7140
                                                               104,006      12,888       X   X 28-5284     12888
                                                                66,973       8,299       X     28-11135     8299
ISHARES INC                    MSCI SWITZERLD 464286749         15,733       1,033       X     28-5284      1033
                                                               197,716      12,982       X   X 28-5284     12882               100
ISHARES INC                    MSCI SPAIN     464286764         66,126       2,202       X     28-5284      2202
   COLUMN TOTAL                                             35,388,992







                                                                                                                  FILE NO. 28-1235
PAGE 114 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
ISHARES INC                    MSCI S KOREA   464286772         10,103         355       X     28-5284       355
                                                               315,963      11,102       X   X 28-5284     11102
ISHARES INC                    MSCI GERMAN    464286806         13,024         870       X     28-5284       870
ISHARES INC                    MSCI MEX INVES 464286822          7,650         280       X     28-5284       280
                                                                 5,464         200       X   X 28-5284       200
ISHARES INC                    MSCI MALAYSIA  464286830         66,363       9,494       X   X 28-5284      9494
ISHARES INC                    MSCI JAPAN     464286848     14,415,975   1,824,807       X     28-5284   1824707               100
                                                             1,750,055     221,526       X   X 28-5284    221526
                                                                50,647       6,411       X     28-11135     6411
                                                             1,505,432     190,561       X     28-4580    187561              3000
                                                             2,871,105     363,431       X   X 28-4580    355431              8000
ISHARES INC                    MSCI HONG KONG 464286871          9,967         980       X     28-5284       980
                                                                 6,102         600       X   X 28-5284       600
ISHARES TR                     S&P 100 IDX FD 464287101     12,066,356     319,808       X     28-5284    307980             11828
                                                             7,622,139     202,018       X   X 28-5284    142018             60000
                                                                18,865         500       X     28-4580       500
                                                                 8,301         220       X   X 28-4580       220
ISHARES TR                     LRGE GRW INDX  464287119        147,513       3,597       X     28-5284      3597
                                                                 4,921         120       X   X 28-5284       120
ISHARES TR                     DJ SEL DIV INX 464287168     17,448,092     557,269       X     28-5284    552462              4807
                                                            11,215,117     358,196       X   X 28-5284    353680       301    4215
                                                               555,502      17,742       X     28-4580     13742              4000
                                                               258,527       8,257       X   X 28-4580      8257
ISHARES TR                     BARCLYS TIPS B 464287176     41,080,683     399,812       X     28-5284    379248             20564
                                                            11,158,136     108,595       X   X 28-5284    103278      1475    3842
                                                               716,887       6,977       X     28-11135     6977
                                                             1,870,358      18,203       X     28-4580     16673              1530
                                                               979,619       9,534       X   X 28-4580      8786               748
ISHARES TR                     FTSE XNHUA IDX 464287184        218,682       7,665       X     28-5284      7665
                                                             1,195,436      41,901       X   X 28-5284     41382       210     309
ISHARES TR                     TRANSP AVE IDX 464287192         21,492         450       X     28-5284       450
   COLUMN TOTAL                                            127,614,476







                                                                                                                  FILE NO. 28-1235
PAGE 115 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
ISHARES TR                     S&P 500 INDEX  464287200    178,736,549   2,244,870       X     28-5284   2191323             53547
                                                            46,303,091     581,551       X   X 28-5284    519703     33350   28498
                                                               253,908       3,189       X     28-12474     1998              1191
                                                               166,645       2,093       X   X 28-12474     2093
                                                             2,498,157      31,376       X     28-4580     31376
                                                             1,065,077      13,377       X   X 28-4580     13377
ISHARES TR                     BARCLYS US AGG 464287226    118,435,074   1,167,193       X     28-5284   1148410             18783
                                                            18,578,142     183,090       X   X 28-5284    159565     17009    6516
                                                             1,480,143      14,587       X     28-11135    14587
                                                               951,484       9,377       X     28-4580      9377
                                                                29,731         293       X   X 28-4580       293
ISHARES TR                     MSCI EMERG MKT 464287234     32,641,177   1,315,646       X     28-5284   1298776             16870
                                                            19,768,211     796,784       X   X 28-5284    714494     48570   33720
                                                             1,029,640      41,501       X     28-4580     40501              1000
                                                               873,114      35,192       X   X 28-4580     31610      2700     882
ISHARES TR                     IBOXX INV CPBD 464287242     65,472,884     695,632       X     28-5284    682134             13498
                                                            20,527,196     218,096       X   X 28-5284    211868      2573    3655
                                                               963,318      10,235       X     28-4580     10235
                                                               272,948       2,900       X   X 28-4580      2900
ISHARES TR                     S&P GBL TELCM  464287275          2,192          50       X   X 28-5284        50
ISHARES TR                     S&P GBL INF    464287291         19,151         510       X     28-5284       510
                                                                20,465         545       X   X 28-5284       545
ISHARES TR                     S&P500 GRW     464287309     23,050,083     550,647       X     28-5284    485983             64664
                                                             3,744,293      89,448       X   X 28-5284     82419      3950    3079
                                                               185,105       4,422       X     28-4580      4422
ISHARES TR                     S&P GBL HLTHCR 464287325          7,962         200       X     28-5284       200
                                                               640,941      16,100       X   X 28-4580     16100
ISHARES TR                     S&P GBL ENER   464287341         55,730       2,103       X     28-5284      2103
                                                                 7,473         282       X   X 28-5284       282
ISHARES TR                     S&P NA NAT RES 464287374      8,167,702     345,796       X     28-5284    330654             15142
                                                             1,495,146      63,300       X   X 28-5284     38219             25081
                                                             1,640,291      69,445       X     28-11135    69445
                                                             2,824,976     119,601       X     28-4580    113101              6500
                                                             4,146,656     175,557       X   X 28-4580    172557              3000
   COLUMN TOTAL                                            556,054,655







                                                                                                                  FILE NO. 28-1235
PAGE 116 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
ISHARES TR                     S&P LTN AM 40  464287390      1,084,187      42,285       X     28-5284     42285
                                                             1,247,207      48,643       X   X 28-5284     47543       720     380
                                                               126,328       4,927       X   X 28-4580      4927
ISHARES TR                     S&P 500 VALUE  464287408     15,780,091     424,196       X     28-5284    409416             14780
                                                             1,560,242      41,942       X   X 28-5284     39342              2600
                                                                74,474       2,002       X     28-4580      2002
                                                               148,800       4,000       X   X 28-4580      2000              2000
ISHARES TR                     BARCLYS 20+ YR 464287432      6,063,420      57,359       X     28-5284     57359
                                                               270,618       2,560       X   X 28-5284      2560
ISHARES TR                     BARCLYS 7-10 Y 464287440      8,532,664      88,339       X     28-5284     87367               972
                                                             1,232,778      12,763       X   X 28-5284     12748        15
                                                               127,885       1,324       X     28-4580      1324
ISHARES TR                     BARCLYS 1-3 YR 464287457     29,152,375     345,735       X     28-5284    332053             13682
                                                             4,917,121      58,315       X   X 28-5284     54036       415    3864
                                                               789,235       9,360       X     28-4580      5723              3637
                                                                83,477         990       X   X 28-4580       990
ISHARES TR                     MSCI EAFE IDX  464287465    180,251,230   4,795,191       X     28-5284   4671105            124086
                                                            98,262,140   2,614,050       X   X 28-5284   2274607    107533  231910
                                                             3,318,182      88,273       X     28-11135    88273
                                                             2,690,128      71,565       X     28-4580     71565
                                                             2,312,386      61,516       X   X 28-4580     54816      6700
ISHARES TR                     RUSSELL MCP VL 464287473     11,374,837     474,941       X     28-5284    456544             18397
                                                             3,418,791     142,747       X   X 28-5284    134381      2126    6240
                                                             1,604,195      66,981       X     28-12474    66981
                                                               533,558      22,278       X     28-4580     22278
                                                               102,506       4,280       X   X 28-4580      4280
ISHARES TR                     RUSSELL MCP GR 464287481     13,580,819     451,190       X     28-5284    432850             18340
                                                             4,538,869     150,793       X   X 28-5284    133427      7305   10061
                                                               828,472      27,524       X     28-4580     27524
                                                               142,373       4,730       X   X 28-4580      4730
ISHARES TR                     RUSSELL MIDCAP 464287499     25,014,191     463,140       X     28-5284    445142             17998
                                                             9,092,097     168,341       X   X 28-5284    164888       845    2608
                                                                79,341       1,469       X     28-12474     1469
                                                               203,186       3,762       X     28-4580      3762
                                                               123,035       2,278       X   X 28-4580      2278
   COLUMN TOTAL                                            428,661,238







                                                                                                                  FILE NO. 28-1235
PAGE 117 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
ISHARES TR                     S&P MIDCAP 400 464287507     22,226,956     456,687       X     28-5284    426290             30397
                                                            15,447,177     317,386       X   X 28-5284    301658      4715   11013
                                                                   876          18       X     28-11135       18
                                                                38,011         781       X     28-4580       781
                                                             1,046,502      21,502       X   X 28-4580     21502
ISHARES TR                     S&P NA SOFTWR  464287515         61,312       1,854       X     28-5284      1854
                                                                34,889       1,055       X   X 28-5284      1055
ISHARES TR                     S&P NA SEMICND 464287523         33,818       1,086       X     28-5284      1086
                                                                 4,702         151       X     28-4580       151
ISHARES TR                     S&P NA TECH FD 464287549        146,916       4,200       X   X 28-5284      4200
ISHARES TR                     NASDQ BIO INDX 464287556      2,519,907      37,979       X     28-5284     37979
                                                             1,131,467      17,053       X   X 28-5284     17053
                                                                43,725         659       X     28-4580       659
                                                                12,739         192       X   X 28-4580       192
ISHARES TR                     COHEN&ST RLTY  464287564      7,767,831     279,821       X     28-5284    278441              1380
                                                             2,959,827     106,622       X   X 28-5284    103891       140    2591
                                                                 3,192         115       X     28-4580       115
ISHARES TR                     S&P GLB100INDX 464287572         12,675         300       X   X 28-5284       300
ISHARES TR                     RUSSELL1000VAL 464287598     53,586,291   1,315,001       X     28-5284   1281466             33535
                                                            25,801,474     633,165       X   X 28-5284    630418       912    1835
                                                                87,979       2,159       X   X 28-12474     2159
                                                             2,703,885      66,353       X     28-11135    66353
                                                                93,399       2,292       X     28-4580      2292
                                                               501,307      12,302       X   X 28-4580     12302
ISHARES TR                     S&P MC 400 GRW 464287606      6,542,301     124,473       X     28-5284    123919               554
                                                             1,995,178      37,960       X   X 28-5284     34054       752    3154
                                                                65,174       1,240       X     28-4580      1240
                                                                61,285       1,166       X   X 28-4580      1166
ISHARES TR                     RUSSELL1000GRW 464287614     63,559,979   1,811,858       X     28-5284   1654701            157157
                                                            27,369,451     780,201       X   X 28-5284    713939      1083   65179
                                                                10,068         287       X   X 28-12474      287
                                                             1,142,977      32,582       X     28-11135    32582
                                                                61,986       1,767       X     28-4580      1767
                                                               821,293      23,412       X   X 28-4580     22513               899
   COLUMN TOTAL                                            237,896,549







                                                                                                                  FILE NO. 28-1235
PAGE 118 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
ISHARES TR                     RUSSELL 1000   464287622     98,078,933   2,267,721       X     28-5284   2246967             20754
                                                            22,018,791     509,105       X   X 28-5284    471188       353   37564
                                                             1,056,035      24,417       X     28-4580     24417
                                                             1,274,318      29,464       X   X 28-4580     29464
ISHARES TR                     RUSL 2000 VALU 464287630     11,214,019     284,187       X     28-5284    254418             29769
                                                             3,887,757      98,524       X   X 28-5284     95821              2703
                                                               639,923      16,217       X     28-11135    16217
                                                               234,511       5,943       X     28-4580      5943
                                                               254,517       6,450       X   X 28-4580      6450
ISHARES TR                     RUSL 2000 GROW 464287648     10,269,265     223,342       X     28-5284    218162              5180
                                                             2,771,445      60,275       X   X 28-5284     56029      1942    2304
                                                               679,768      14,784       X     28-11135    14784
                                                               180,609       3,928       X     28-4580      3928
ISHARES TR                     RUSSELL 2000   464287655     46,415,084   1,103,807       X     28-5284   1090143             13664
                                                            20,078,202     477,484       X   X 28-5284    422289     30773   24422
                                                               829,689      19,731       X     28-11135    19731
                                                               650,387      15,467       X     28-4580     15467
                                                               361,924       8,607       X   X 28-4580      8607
ISHARES TR                     RUSL 3000 VALU 464287663      1,672,535      31,599       X     28-5284     31599
                                                                21,543         407       X   X 28-5284       407
                                                               612,824      11,578       X     28-4580     11578
                                                               232,892       4,400       X   X 28-4580      4400
ISHARES TR                     RUSL 3000 GROW 464287671        218,330       7,658       X     28-5284      7658
                                                                85,673       3,005       X   X 28-5284      3005
ISHARES TR                     RUSSELL 3000   464287689     15,534,601     338,592       X     28-5284    338296               296
                                                             1,452,010      31,648       X   X 28-5284     31448               200
                                                                85,383       1,861       X     28-4580      1861
                                                               155,992       3,400       X   X 28-4580      3400
ISHARES TR                     DJ US UTILS    464287697        564,416       9,274       X     28-5284      9274
                                                               422,794       6,947       X   X 28-5284      6947
                                                                12,172         200       X     28-4580       200
                                                                 3,104          51       X   X 28-4580        51
   COLUMN TOTAL                                            241,969,446







                                                                                                                  FILE NO. 28-1235
PAGE 119 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
ISHARES TR                     S&P MIDCP VALU 464287705     13,536,510     307,229       X     28-5284    306839               390
                                                             1,713,582      38,892       X   X 28-5284     36703       168    2021
                                                                75,915       1,723       X     28-4580      1723
                                                               145,398       3,300       X   X 28-4580      3300
ISHARES TR                     DJ US TELECOMM 464287713        394,786      24,767       X     28-5284     24431               336
                                                               170,957      10,725       X   X 28-5284     10450       275
                                                                20,722       1,300       X     28-4580      1300
                                                                 4,304         270       X   X 28-4580       270
ISHARES TR                     DJ US TECH SEC 464287721      2,803,949      75,721       X     28-5284     73232              2489
                                                             2,696,228      72,812       X   X 28-5284     72030       507     275
ISHARES TR                     DJ US REAL EST 464287739      1,329,801      52,231       X     28-5284     51596               635
                                                             1,474,796      57,926       X   X 28-5284     53350      1088    3488
ISHARES TR                     DJ US INDUSTRL 464287754         21,398         617       X   X 28-5284       617
ISHARES TR                     DJ US HEALTHCR 464287762      2,703,909      54,735       X     28-5284     52959              1776
                                                               867,859      17,568       X   X 28-5284     15768              1800
                                                                55,624       1,126       X     28-4580      1126
ISHARES TR                     DJ US FINL SVC 464287770        400,437      11,644       X     28-5284     10684               960
                                                               177,040       5,148       X   X 28-5284      2648       200    2300
ISHARES TR                     DJ US FINL SEC 464287788        539,815      16,498       X     28-5284     16042               456
                                                             1,646,045      50,307       X   X 28-5284     49382               925
                                                                 3,436         105       X     28-4580       105
                                                               102,512       3,133       X   X 28-4580      3133
ISHARES TR                     DJ US ENERGY   464287796        526,819      20,790       X     28-5284     17344              3446
                                                               396,064      15,630       X   X 28-5284     15330               300
                                                                38,010       1,500       X   X 28-4580      1500
ISHARES TR                     S&P SMLCAP 600 464287804     10,151,718     278,970       X     28-5284    258040             20930
                                                             8,792,661     241,623       X   X 28-5284    230204      1555    9864
                                                                    36           1       X     28-11135        1
                                                               247,124       6,791       X     28-4580      6791
                                                               705,384      19,384       X   X 28-4580     19384
ISHARES TR                     CONS GOODS IDX 464287812        172,200       4,200       X     28-5284      4200
                                                                41,000       1,000       X   X 28-5284      1000
   COLUMN TOTAL                                             51,956,039







                                                                                                                  FILE NO. 28-1235
PAGE 120 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
ISHARES TR                     DJ US BAS MATL 464287838        268,789       7,660       X     28-5284      7660
                                                                58,635       1,671       X   X 28-5284      1591        80
ISHARES TR                     DJ US INDEX FD 464287846        903,818      23,157       X     28-5284     23157
                                                            10,250,059     262,620       X   X 28-5284    260075              2545
ISHARES TR                     S&P EURO PLUS  464287861      2,403,471      93,959       X     28-5284     91957              2002
                                                               763,282      29,839       X   X 28-5284     29839
                                                             1,019,772      39,866       X     28-4580     39866
                                                             1,737,394      67,920       X   X 28-4580     67920
ISHARES TR                     S&P SMLCP VALU 464287879      3,898,237     100,186       X     28-5284     69538             30648
                                                             1,127,378      28,974       X   X 28-5284     27347        75    1552
                                                                62,567       1,608       X     28-4580      1608
                                                                 1,829          47       X   X 28-4580        47
ISHARES TR                     S&P SMLCP GROW 464287887      5,207,054     137,136       X     28-5284    134227              2909
                                                             1,628,799      42,897       X   X 28-5284     41887        88     922
                                                                68,460       1,803       X     28-4580      1803
                                                                 4,974         131       X   X 28-4580       131
ISHARES TR                     MSCI ACJPN IDX 464288182         25,653         775       X     28-5284       775
ISHARES TR                     S&P GLBIDX ETF 464288224            963          55       X     28-5284        55
                                                                32,813       1,875       X   X 28-5284      1875
ISHARES TR                     S&P NUCIDX ETF 464288232          2,606          85       X     28-5284        85
ISHARES TR                     MSCI ACWI EX   464288240         12,691         478       X     28-5284       478
                                                                53,100       2,000       X   X 28-5284      2000
ISHARES TR                     MSCI SMALL CAP 464288273         42,771       1,890       X     28-5284      1890
                                                                23,128       1,022       X     28-11135     1022
ISHARES TR                     JPMORGAN USD   464288281          1,968          23       X     28-5284        23
ISHARES TR                     MID GRWTH INDX 464288307        115,043       2,243       X     28-5284      2243
                                                                 8,155         159       X   X 28-5284       159
ISHARES TR                     S&P GLO INFRAS 464288372          1,469          60       X     28-5284        60
                                                                17,136         700       X   X 28-5284                         700
ISHARES TR                     MID VAL INDEX  464288406        358,364       8,888       X     28-5284      8888
   COLUMN TOTAL                                             30,100,378







                                                                                                                  FILE NO. 28-1235
PAGE 121 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
ISHARES TR                     S&P NATL MUN B 464288414     40,717,782     408,444       X     28-5284    392990             15454
                                                            14,459,735     145,047       X   X 28-5284    135989              9058
                                                             2,410,305      24,178       X     28-4580     24178
                                                             1,027,605      10,308       X   X 28-4580     10308
ISHARES TR                     SMLL CORE INDX 464288505         13,194         293       X     28-5284       293
                                                                16,931         376       X   X 28-5284       376
ISHARES TR                     HIGH YLD CORP  464288513         95,123       1,403       X     28-5284      1403
                                                               113,226       1,670       X   X 28-5284      1670
                                                               292,421       4,313       X     28-11135     4313
ISHARES TR                     BARCLYS MBS BD 464288588         14,408         136       X     28-5284       136
ISHARES TR                     BARCLYS INTER  464288612      7,285,156      70,117       X     28-5284     70117
                                                               912,138       8,779       X   X 28-5284      8779
ISHARES TR                     BARCLYS INTER  464288638        125,214       1,330       X     28-5284       500               830
                                                                28,903         307       X   X 28-5284       307
ISHARES TR                     BARCLYS 1-3YR  464288646         68,538         693       X     28-5284       693
                                                               106,318       1,075       X   X 28-5284      1075
ISHARES TR                     BARCLYS 3-7 YR 464288661         74,428         648       X     28-5284       648
ISHARES TR                     US PFD STK IDX 464288687        598,397      26,257       X     28-5284     22347              3910
                                                               282,596      12,400       X   X 28-5284     12400
ISHARES TR                     S&G GL MATERIA 464288695         20,488         550       X     28-5284       550
                                                                13,969         375       X   X 28-5284       375
ISHARES TR                     SMLL VAL INDX  464288703         31,134         788       X     28-5284       788
ISHARES TR                     S&P GL C STAPL 464288737          3,837          92       X     28-5284        92
ISHARES TR                     DJ AEROSPACE   464288760          1,844          55       X   X 28-5284        55
ISHARES TR                     DJ REGIONAL BK 464288778         50,143       3,202       X     28-5284      3202
ISHARES TR                     DJ BROKER-DEAL 464288794         50,165       2,512       X     28-5284      2512
ISHARES TR                     KLD SL SOC INX 464288802      5,855,550     170,170       X     28-5284    164622              5548
                                                               444,990      12,932       X   X 28-5284      3311              9621
   COLUMN TOTAL                                             75,114,538







                                                                                                                  FILE NO. 28-1235
PAGE 122 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
ISHARES TR                     DJ MED DEVICES 464288810          1,473          40       X     28-5284        40
ISHARES TR                     DJ PHARMA INDX 464288836        130,213       3,090       X     28-5284      3090
ISHARES TR                     DJ OIL EQUIP   464288844          9,065         360       X     28-5284       360
                                                                 2,392          95       X   X 28-5284        95
ISHARES TR                     DJ OIL&GAS EXP 464288851         62,591       1,828       X     28-5284      1828
ISHARES TR                     MSCI VAL IDX   464288877      4,071,177     122,922       X     28-5284    118159              4763
                                                             8,274,833     249,844       X   X 28-5284    244823      4783     238
                                                               413,868      12,496       X     28-4580     12496
                                                                 7,220         218       X   X 28-4580       218
ISHARES TR                     MSCI GRW IDX   464288885      4,253,469     109,852       X     28-5284    109171               681
                                                             9,897,800     255,625       X   X 28-5284    247446      2783    5396
                                                               288,348       7,447       X     28-4580      7447
                                                                 7,899         204       X   X 28-4580       204
ISIS PHARMACEUTICALS INC       COM            464330109         66,044       4,400       X     28-5284      4400
                                                                39,341       2,621       X   X 28-5284      1521              1100
ITERIS INC                     COM            46564T107        661,517     504,975       X   X 28-5284              504975
ITC HLDGS CORP                 COM            465685105         27,263         625       X   X 28-5284       625
                                                                 5,758         132       X     28-11135      132
ITRON INC                      COM            465741106         27,463         580       X     28-5284       250               330
                                                                   331           7       X   X 28-5284         7
                                                               212,223       4,482       X     28-11135     4482
J & J SNACK FOODS CORP         COM            466032109          4,163         120       X     28-5284                         120
JA SOLAR HOLDINGS CO LTD       SPON ADR       466090107          4,718       1,400       X   X 28-5284      1400
J CREW GROUP INC               COM            46612H402            646          49       X     28-5284        49
                                                                48,278       3,663       X   X 28-5284      3663
JDS UNIPHASE CORP              COM PAR $0.001 46612J507            761         234       X     28-5284       234
                                                                   598         184       X   X 28-5284       184
   COLUMN TOTAL                                             28,519,452







                                                                                                                  FILE NO. 28-1235
PAGE 123 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
JPMORGAN CHASE & CO            COM            46625H100     52,580,715   1,978,206       X     28-5284   1899016       700   78490
                                                            50,267,458   1,891,176       X   X 28-5284   1718122     62583  110471
                                                            16,171,325     608,402       X     28-12474   564162             44240
                                                             3,903,167     146,846       X   X 28-12474   130818      2709   13319
                                                               481,337      18,109       X     28-11135    18109
                                                             1,175,873      44,239       X     28-4580     43789               450
                                                               585,451      22,026       X   X 28-4580     20977      1049
J2 GLOBAL COMMUNICATIONS INC   COM NEW        46626E205         42,248       1,930       X     28-11135     1930
JABIL CIRCUIT INC              COM            466313103        143,465      25,803       X     28-5284     25148               655
                                                                14,678       2,640       X   X 28-5284       550              2090
                                                               526,977      94,780       X     28-12474    87150              7630
                                                                 8,006       1,440       X   X 28-12474     1440
                                                                   311          56       X     28-11135       56
JACK IN THE BOX INC            COM            466367109         11,179         480       X     28-5284                         480
JACOBS ENGR GROUP INC DEL      COM            469814107      1,695,241      43,850       X     28-5284     40975              2875
                                                             1,721,994      44,542       X   X 28-5284     32567             11975
                                                                   889          23       X   X 28-12474       23
                                                               249,241       6,447       X     28-11135     6447
                                                                13,144         340       X     28-4580       340
                                                                36,031         932       X   X 28-4580       932
JAKKS PAC INC                  COM            47012E106          2,964         240       X     28-5284                         240
JAMES RIVER COAL CO            COM NEW        470355207          2,468         200       X     28-5284       200
JANUS CAP GROUP INC            COM            47102X105         10,108       1,520       X     28-5284                        1520
                                                                 2,328         350       X   X 28-5284                         350
JARDEN CORP                    COM            471109108        343,357      27,100       X   X 28-5284     27000               100
JOHN BEAN TECHNOLOGIES CORP    COM            477839104            220          21       X     28-5284        21
                                                                 6,506         622       X     28-11135      622
   COLUMN TOTAL                                            129,996,681







                                                                                                                  FILE NO. 28-1235
PAGE 124 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
JOHNSON & JOHNSON              COM            478160104    196,648,519   3,738,565       X     28-5284   3602113       450  136002
                                                           195,301,749   3,712,961       X   X 28-5284   3430877     29544  252540
                                                            21,051,414     400,217       X     28-12474   371193             29024
                                                             5,408,279     102,819       X   X 28-12474    91274      2144    9401
                                                               508,063       9,659       X     28-11135     9659
                                                             4,203,056      79,906       X     28-4580     79376               530
                                                             5,949,849     113,115       X   X 28-4580    111215              1900
JOHNSON CTLS INC               COM            478366107      2,320,140     193,345       X     28-5284    177941             15404
                                                             3,123,000     260,250       X   X 28-5284    234300      1235   24715
                                                                36,000       3,000       X     28-12474     3000
                                                                73,176       6,098       X     28-11135     6098
                                                                14,400       1,200       X     28-4580      1200
                                                                30,708       2,559       X   X 28-4580      2559
JONES APPAREL GROUP INC        COM            480074103          4,811       1,140       X     28-5284                        1140
                                                               172,598      40,900       X   X 28-5284     40900
JONES LANG LASALLE INC         COM            48020Q107         49,311       2,120       X     28-5284                        2120
JONES SODA CO                  COM            48023P106            910       1,000       X     28-5284      1000
JOS A BANK CLOTHIERS INC       COM            480838101         55,620       2,000       X     28-5284                        2000
                                                                44,496       1,600       X   X 28-5284      1600
JOY GLOBAL INC                 COM            481165108         79,236       3,720       X     28-5284      3720
                                                                42,600       2,000       X   X 28-5284      1800               200
                                                                 8,946         420       X     28-4580       420
JUNIPER NETWORKS INC           COM            48203R104        107,969       7,174       X     28-5284      5474              1700
                                                                50,192       3,335       X   X 28-5284      3335
                                                                14,644         973       X     28-11135      973
KB FINANCIAL GROUP INC         SPONSORED ADR  48241A105            800          33       X     28-5284        33
                                                                    97           4       X   X 28-5284         4
KBR INC                        COM            48242W106         69,768       5,052       X     28-5284      5052
                                                               402,451      29,142       X   X 28-5284     25015              4127
                                                                13,810       1,000       X     28-4580      1000
KBW INC                        COM            482423100         40,700       2,000       X     28-5284      2000
                                                                 4,070         200       X   X 28-5284       200
   COLUMN TOTAL                                            435,831,382







                                                                                                                  FILE NO. 28-1235
PAGE 125 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
KHD HUMBOLDT WEDAG INTL LTD    COM            482462108        131,290      19,000       X   X 28-5284               19000
                                                                   290          42       X     28-11135       42
KLA-TENCOR CORP                COM            482480100         14,800         740       X     28-5284       400               340
                                                               225,380      11,269       X     28-11135    11269
KMG CHEMICALS INC              COM            482564101         61,783      12,210       X     28-4580     12210
KT CORP                        SPONSORED ADR  48268K101          4,413         320       X     28-5284       320
                                                                 9,639         699       X   X 28-5284       699
K SEA TRANSN PARTNERS LP       COM            48268Y101          8,850         500       X     28-5284       500
K-SWISS INC                    CL A           482686102          1,879         220       X     28-5284                         220
K TRON INTL INC                COM            482730108         12,862         212       X     28-5284       212
                                                               375,001       6,181       X   X 28-5284      2891              3290
K V PHARMACEUTICAL CO          CL A           482740206            495         300       X     28-5284       300
                                                                   111          67       X     28-11135       67
KADANT INC                     COM            48282T104            415          36       X   X 28-5284        36
KAISER ALUMINUM CORP           COM PAR $0.01  483007704         95,509       4,131       X     28-11135     4131
KAMAN CORP                     COM            483548103          2,633         210       X     28-5284                         210
KANSAS CITY SOUTHERN           COM NEW        485170302          2,695         212       X     28-5284       212
                                                               138,857      10,925       X   X 28-5284      1225              9700
                                                                65,609       5,162       X     28-11135     5162
KAYDON CORP                    COM            486587108        186,719       6,832       X     28-11135     6832
KAYNE ANDERSON ENRGY TTL RT    COM            48660P104         11,536         800       X     28-5284       800
                                                                17,304       1,200       X   X 28-5284      1200
KAYNE ANDERSON ENERGY DEV CO   COM            48660Q102         11,208       1,200       X   X 28-5284      1200
KAYNE ANDERSON MLP INVSMNT C   COM            486606106         83,277       4,189       X   X 28-5284      4189
KB HOME                        COM            48666K109         61,445       4,662       X     28-5284       734              3928
KEITHLEY INSTRS INC            COM            487584104            271          80       X     28-5284                          80
   COLUMN TOTAL                                              1,524,271







                                                                                                                  FILE NO. 28-1235
PAGE 126 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
KELLOGG CO                     COM            487836108      1,861,244      50,812       X     28-5284     47918              2894
                                                             1,816,115      49,580       X   X 28-5284     45658              3922
                                                               124,432       3,397       X     28-11135     3397
                                                                58,608       1,600       X     28-4580      1600
                                                                43,956       1,200       X   X 28-4580                        1200
KENNAMETAL INC                 COM            489170100         21,705       1,339       X     28-5284      1159               180
                                                               449,179      27,710       X   X 28-5284     21730              5980
KENSEY NASH CORP               COM            490057106         38,863       1,828       X     28-11135     1828
KEY ENERGY SVCS INC            COM            492914106            219          76       X     28-11135       76
KEYCORP NEW                    COM            493267108        135,663      17,238       X     28-5284     10914              6324
                                                                 3,675         467       X   X 28-5284       467
KEYCORP NEW                    PFD 7.75% SR A 493267405          3,577          50       X   X 28-5284                          50
KEYNOTE SYS INC                COM            493308100         28,548       3,600       X   X 28-5284                3600
KILROY RLTY CORP               COM            49427F108          4,985         290       X     28-5284                         290
                                                                 6,704         390       X   X 28-12474      390
                                                                   653          38       X     28-11135       38
KIMBERLY CLARK CORP            COM            494368103     20,071,176     435,289       X     28-5284    420099       200   14990
                                                            23,179,681     502,704       X   X 28-5284    479464     14400    8840
                                                               433,526       9,402       X     28-12474     8638               764
                                                               162,722       3,529       X   X 28-12474     3313               216
                                                               475,210      10,306       X     28-11135    10306
                                                                45,926         996       X     28-4580       996
                                                               334,113       7,246       X   X 28-4580      7246
KIMCO REALTY CORP              COM            49446R109         27,051       3,550       X     28-5284      3550
                                                               270,129      35,450       X   X 28-5284     28050              7400
                                                               634,632      83,285       X     28-12474    83285
                                                               136,779      17,950       X   X 28-12474    17950
                                                                 3,909         513       X     28-11135      513
                                                                28,575       3,750       X   X 28-4580      3750
KINDER MORGAN MANAGEMENT LLC   SHS            49455U100         27,798         682       X     28-5284       682
                                                                27,309         670       X   X 28-5284       670
                                                                   163           4       X     28-11135        4
   COLUMN TOTAL                                             50,456,825







                                                                                                                  FILE NO. 28-1235
PAGE 127 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
KINDER MORGAN ENERGY PARTNER   UT LTD PARTNER 494550106      2,726,019      58,348       X     28-5284     58348
                                                             6,619,383     141,682       X   X 28-5284    133687      2200    5795
                                                                74,752       1,600       X   X 28-4580      1600
KINDRED HEALTHCARE INC         COM            494580103          1,674         112       X   X 28-5284       112
KINETIC CONCEPTS INC           COM NEW        49460W208        284,465      13,469       X     28-5284     13469
                                                                36,242       1,716       X   X 28-5284      1391               325
                                                               455,242      21,555       X     28-12474    18185              3370
                                                                13,517         640       X   X 28-12474      640
KING PHARMACEUTICALS INC       COM            495582108          1,032         146       X     28-5284       146
                                                               142,001      20,085       X   X 28-5284     20085
KINROSS GOLD CORP              COM NO PAR     496902404         56,737       3,175       X     28-5284      3175
                                                                28,592       1,600       X   X 28-5284      1600
KIRBY CORP                     COM            497266106         11,988         450       X     28-5284                         450
                                                                 1,066          40       X     28-11135       40
KNOLL INC                      COM NEW        498904200          1,073         175       X   X 28-5284       175
KNIGHT CAPITAL GROUP INC       CL A           499005106          2,152         146       X     28-5284       146
                                                                 2,727         185       X   X 28-5284       185
KNIGHT TRANSN INC              COM            499064103         45,025       2,970       X     28-5284      2970
                                                                 5,867         387       X   X 28-5284       387
KNOLOGY INC                    COM            499183804        538,781     130,772       X     28-5284         5            130767
KNOT INC                       COM            499184109            820         100       X     28-5284       100
                                                                30,750       3,750       X   X 28-5284      3750
KOHLS CORP                     COM            500255104      1,785,904      42,200       X     28-5284     40285              1915
                                                             1,188,853      28,092       X   X 28-5284     25842              2250
                                                               215,832       5,100       X     28-12474     4230               870
                                                                 7,194         170       X   X 28-12474      170
                                                               548,383      12,958       X     28-11135    12958
KONGZHONG CORP                 SPONSORED ADR  50047P104         10,120       2,000       X     28-4580      2000
   COLUMN TOTAL                                             14,836,191







                                                                                                                  FILE NO. 28-1235
PAGE 128 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
KONINKLIJKE PHILIPS ELECTRS    NY REG SH NEW  500472303         80,357       5,404       X     28-5284      5404
                                                                48,149       3,238       X   X 28-5284       858              2380
                                                                 1,323          89       X     28-11135       89
KOPPERS HOLDINGS INC           COM            50060P106          2,904         200       X     28-5284       200
                                                               233,554      16,085       X   X 28-5284     16085
KOPIN CORP                     COM            500600101            951         410       X     28-5284                         410
KOREA ELECTRIC PWR             SPONSORED ADR  500631106          1,556         170       X     28-5284       170
                                                                47,946       5,240       X   X 28-5284      5240
                                                                   631          69       X     28-11135       69
KOREA FD                       COM NEW        500634209          1,165          51       X     28-5284        51
                                                               104,402       4,571       X   X 28-5284      4571
KORN FERRY INTL                COM NEW        500643200         11,053       1,220       X     28-5284      1220
                                                                37,599       4,150       X   X 28-5284      4150
KRAFT FOODS INC                CL A           50075N104     14,601,087     655,051       X     28-5284    634143       500   20408
                                                            63,390,152   2,843,883       X   X 28-5284   2798160      4586   41137
                                                               402,602      18,062       X     28-12474    16548              1514
                                                               156,186       7,007       X   X 28-12474     6585               422
                                                               373,157      16,741       X     28-11135    16741
                                                               560,192      25,132       X     28-4580     23679              1453
                                                               472,682      21,206       X   X 28-4580     21206
KRATOS DEFENSE & SECURITY SO   COM            50077B108            208         263       X   X 28-5284       263
KRISPY KREME DOUGHNUTS INC     COM            501014104            160         100       X   X 28-5284       100
KROGER CO                      COM            501044101        683,263      32,199       X     28-5284     30679              1520
                                                               709,745      33,447       X   X 28-5284     33447
                                                                88,487       4,170       X     28-11135     4170
                                                                 8,488         400       X     28-4580       400
KUBOTA CORP                    ADR            501173207         12,807         461       X     28-5284       461
                                                                   417          15       X   X 28-5284        15
KULICKE & SOFFA INDS INC       COM            501242101          2,384         910       X     28-5284       500               410
KYOCERA CORP                   ADR            501556203          7,500         112       X     28-5284       112
                                                                 3,281          49       X     28-11135       49
   COLUMN TOTAL                                             82,044,388







                                                                                                                  FILE NO. 28-1235
PAGE 129 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
LCA-VISION INC                 COM PAR $.001  501803308         17,460       6,000       X   X 28-5284                6000
LDK SOLAR CO LTD               SPONSORED ADR  50183L107         21,556       3,400       X   X 28-5284       400              3000
                                                                   114          18       X     28-4580        18
LKQ CORP                       COM            501889208          1,199          84       X     28-5284        84
                                                                 6,593         462       X   X 28-5284       462
LL & E RTY TR                  UNIT BEN INT   502003106            944       2,000       X   X 28-5284      2000
LMI AEROSPACE INC              COM            502079106          3,620         500       X     28-5284       500
L-1 IDENTITY SOLUTIONS INC     COM            50212A106            322          63       X   X 28-5284        63
LSB CORP                       COM            50215P100        151,980      17,000       X   X 28-5284     17000
LSI CORPORATION                COM            502161102         27,153       8,932       X     28-5284      8932
                                                                11,160       3,671       X   X 28-5284      3646                25
                                                                    18           6       X     28-11135        6
LTC PPTYS INC                  COM            502175102         38,483       2,194       X     28-11135     2194
LTX-CREDENCE CORP              COM            502403108            196         700       X     28-5284       700
L-3 COMMUNICATIONS CORP        DEBT  3.000% 8 502413AW7        192,750       2,000       X     28-5284      2000
L-3 COMMUNICATIONS HLDGS INC   COM            502424104      1,930,469      28,473       X     28-5284     20548              7925
                                                               996,660      14,700       X   X 28-5284      7100              7600
                                                               267,539       3,946       X     28-11135     3946
LA Z BOY INC                   COM            505336107            450         360       X     28-5284                         360
LABORATORY CORP AMER HLDGS     COM NEW        50540R409         63,462       1,085       X     28-5284      1085
                                                               703,342      12,025       X   X 28-5284      8725              3300
                                                               322,455       5,513       X     28-11135     5513
                                                                 7,019         120       X     28-4580       120
                                                                58,899       1,007       X   X 28-4580      1007
LACLEDE GROUP INC              COM            505597104         45,996       1,180       X     28-5284      1000               180
                                                                15,592         400       X   X 28-5284       400
LADISH INC                     COM NEW        505754200          3,630         500       X     28-5284       500
   COLUMN TOTAL                                              4,889,061







                                                                                                                  FILE NO. 28-1235
PAGE 130 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
LAKELAND BANCORP INC           COM            511637100        143,046      17,814       X     28-5284     17814
LAKELAND FINL CORP             COM            511656100        161,369       8,409       X     28-11135     8409
LAM RESEARCH CORP              COM            512807108        212,285       9,323       X     28-5284      9263                60
                                                               145,273       6,380       X   X 28-5284      6380
LAMAR ADVERTISING CO           CL A           512815101        102,375      10,500       X   X 28-5284     10500
LANCE INC                      COM            514606102          5,205         250       X     28-5284                         250
LANDAUER INC                   COM            51476K103         43,078         850       X     28-5284       850
                                                                29,141         575       X   X 28-5284       575
LANDSTAR SYS INC               COM            515098101          1,674          50       X     28-5284        50
                                                                   167           5       X   X 28-5284         5
                                                                11,246         336       X   X 28-4580       336
LAS VEGAS SANDS CORP           COM            517834107        155,683      51,722       X     28-5284     45979              5743
                                                                 5,873       1,951       X   X 28-5284      1926                25
                                                                   196          65       X     28-4580        65
LASALLE HOTEL PPTYS            COM SH BEN INT 517942108        137,123      23,480       X     28-12474    23480
                                                                 3,446         590       X   X 28-12474      590
LATIN AMER EQUITY FD INC NEW   COM            51827Q106          1,486          75       X     28-5284        75
LAUDER ESTEE COS INC           CL A           518439104        121,648       4,935       X     28-5284      4935
                                                                 6,409         260       X   X 28-5284       260
                                                                 1,356          55       X     28-4580        55
LAWSON PRODS INC               COM            520776105            609          50       X     28-5284                          50
LAYNE CHRISTENSEN CO           COM            521050104          8,035         500       X   X 28-5284       500
                                                               160,202       9,969       X     28-11135     9969
LEADIS TECHNOLOGY INC          COM            52171N103         17,086      28,476       X   X 28-5284               28476
LEAPFROG ENTERPRISES INC       CL A           52186N106            137          99       X     28-11135       99
LEAP WIRELESS INTL INC         COM NEW        521863308          8,892         255       X   X 28-5284       255
   COLUMN TOTAL                                              1,483,040







                                                                                                                  FILE NO. 28-1235
PAGE 131 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
LEGGETT & PLATT INC            COM            524660107         26,500       2,040       X     28-5284                        2040
                                                               573,638      44,160       X   X 28-5284     44160
LEGACY RESERVES LP             UNIT LP INT    524707304          6,848         750       X   X 28-5284       750
LEGG MASON INC                 COM            524901105        554,815      34,894       X     28-5284     33669              1225
                                                               628,241      39,512       X   X 28-5284     28260       425   10827
                                                                11,130         700       X     28-12474      700
LENDER PROCESSING SVCS INC     COM            52602E102         34,436       1,125       X     28-5284      1125
                                                             1,370,440      44,771       X   X 28-5284     44771
LENNAR CORP                    CL A           526057104         75,438      10,045       X     28-5284      2879              7166
                                                                 3,770         502       X   X 28-5284       502
LENNAR CORP                    CL B           526057302          1,138         200       X     28-5284       200
LENNOX INTL INC                COM            526107107            132           5       X   X 28-5284         5
                                                                 6,059         229       X     28-11135      229
LEUCADIA NATL CORP             COM            527288104         98,914       6,643       X     28-5284      6643
                                                             2,577,161     173,080       X   X 28-5284    147180     22000    3900
LEVEL 3 COMMUNICATIONS INC     COM            52729N100          3,126       3,398       X     28-5284      3398
                                                                55,384      60,200       X   X 28-5284     60200
LEXINGTON REALTY TRUST         COM            529043101          2,927       1,230       X     28-5284      1230
                                                                 4,803       2,018       X   X 28-5284      2018
                                                                76,136      31,990       X   X 28-12474    31990
LEXMARK INTL NEW               CL A           529771107            135           8       X   X 28-5284         8
LIBERTY GLOBAL INC             COM SER A      530555101        204,335      14,034       X     28-5284      4418              9616
                                                               735,557      50,519       X   X 28-5284     41503              9016
LIBERTY GLOBAL INC             COM SER C      530555309        390,271      27,620       X     28-5284      6051             21569
                                                               938,698      66,433       X   X 28-5284     35003             31430
LIBERTY MEDIA CORP NEW         INT COM SER A  53071M104          3,811       1,314       X     28-5284      1314
                                                                17,638       6,082       X   X 28-5284      6082
LIBERTY MEDIA CORP NEW         CAP COM SER A  53071M302         94,286      13,508       X     28-5284      1908             11600
                                                               948,554     135,896       X   X 28-5284    132126              3770
   COLUMN TOTAL                                              9,444,321







                                                                                                                  FILE NO. 28-1235
PAGE 132 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
LIBERTY MEDIA CORP NEW         ENT COM SER A  53071M500      1,166,317      58,462       X     28-5284     12062             46400
                                                             1,524,898      76,436       X   X 28-5284     57756             18680
LIBERTY MEDIA CORP             DEB   3.250% 3 530715AR2        362,500      10,000       X     28-5284     10000
LIBERTY MEDIA CORP NEW         DEB   3.125% 3 530718AF2        155,250       2,000       X     28-5284      2000
LIBERTY PPTY TR                SH BEN INT     531172104         16,478         870       X     28-5284       870
                                                                40,891       2,159       X   X 28-5284      2159
LIFE PARTNERS HOLDINGS INC     COM            53215T106         76,770       4,500       X   X 28-5284      4500
LIFE SCIENCES RESH INC         COM            532169109             64           9       X     28-11135        9
LIFE TIME FITNESS INC          COM            53217R207         30,772       2,450       X   X 28-5284      2450
LIFE TECHNOLOGIES CORP         COM            53217V109        560,735      17,264       X     28-5284     16764               500
                                                               586,004      18,042       X   X 28-5284     17494               548
                                                             1,601,232      49,299       X     28-12474    47869              1430
                                                               250,064       7,699       X   X 28-12474     7699
                                                                92,146       2,837       X     28-11135     2837
                                                                 2,339          72       X     28-4580        72
LIFEPOINT HOSPITALS INC        COM            53219L109          9,950         477       X     28-5284       477
                                                                 4,255         204       X   X 28-5284       204
LIGAND PHARMACEUTICALS INC     CL B           53220K207            218          73       X     28-11135       73
LIHIR GOLD LTD                 SPONSORED ADR  532349107         30,295       1,334       X     28-5284      1334
LILLY ELI & CO                 COM            532457108     14,145,026     423,377       X     28-5284    402603       900   19874
                                                            10,467,787     313,313       X   X 28-5284    272637       150   40526
                                                             3,398,298     101,715       X     28-12474    95665              6050
                                                               575,922      17,238       X   X 28-12474    16026              1212
                                                               108,282       3,241       X     28-11135     3241
                                                                71,130       2,129       X     28-4580      2129
                                                               390,730      11,695       X   X 28-4580     11695
LIMITED BRANDS INC             COM            532716107         26,100       3,000       X     28-5284       500              2500
                                                                 7,238         832       X   X 28-5284       700               132
                                                                 4,898         563       X     28-11135      563
   COLUMN TOTAL                                             35,706,589







                                                                                                                  FILE NO. 28-1235
PAGE 133 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
LINCARE HLDGS INC              COM            532791100          3,728         171       X     28-5284       171
                                                                19,620         900       X   X 28-5284       900
                                                                 8,262         379       X     28-11135      379
LINCOLN EDL SVCS CORP          COM            533535100         18,320       1,000       X     28-5284      1000
LINCOLN ELEC HLDGS INC         COM            533900106          6,338         200       X     28-5284       100               100
                                                                 1,204          38       X   X 28-5284        38
LINCOLN NATL CORP IND          COM            534187109        417,623      62,425       X     28-5284     52619              9806
                                                               682,768     102,058       X   X 28-5284     90817       678   10563
                                                                 6,697       1,001       X     28-12474     1001
                                                                 1,331         199       X     28-4580       199
LINDSAY CORP                   COM            535555106          5,670         210       X     28-5284       100               110
                                                                27,000       1,000       X   X 28-5284      1000
LINEAR TECHNOLOGY CORP         COM            535678106      2,163,705      94,156       X     28-5284     92570              1586
                                                               288,583      12,558       X   X 28-5284     11758               800
                                                                    46           2       X     28-12474        2
                                                                 3,769         164       X     28-11135      164
                                                                 2,918         127       X     28-4580       127
LIONS GATE ENTMNT CORP         COM NEW        535919203         10,100       2,000       X   X 28-5284      2000
LINN ENERGY LLC                UNIT LTD LIAB  536020100         19,966       1,340       X     28-5284      1340
                                                                33,153       2,225       X   X 28-5284       225              2000
LITTELFUSE INC                 COM            537008104          2,198         200       X   X 28-5284       200
LIVE NATION INC                COM            538034109             77          29       X   X 28-5284        29
LIVEWIRE MOBILE INC            COM            53837P102        326,685   2,512,963       X   X 28-5284             2512963
LIZ CLAIBORNE INC              COM            539320101         15,865       6,423       X     28-5284      6423
                                                               209,493      84,815       X   X 28-5284     84565       250
LLOYDS BANKING GROUP PLC       SPONSORED ADR  539439109          5,078       1,260       X     28-5284      1260
                                                                37,906       9,406       X   X 28-5284      9406
                                                                     4           1       X     28-11135        1
   COLUMN TOTAL                                              4,318,107







                                                                                                                  FILE NO. 28-1235
PAGE 134 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
LOCKHEED MARTIN CORP           COM            539830109     16,400,285     237,582       X     28-5284    226137       160   11285
                                                            11,294,965     163,624       X   X 28-5284    152874      1285    9465
                                                             8,749,898     126,755       X     28-12474   117883              8872
                                                             2,356,546      34,138       X   X 28-12474    30155       815    3168
                                                               343,148       4,971       X     28-11135     4971
                                                               494,807       7,168       X     28-4580      7038               130
                                                               169,952       2,462       X   X 28-4580      2462
LOEWS CORP                     COM            540424108         65,615       2,969       X     28-5284      1809              1160
                                                               136,799       6,190       X   X 28-5284      1590              4600
                                                                 3,757         170       X     28-11135      170
                                                                40,310       1,824       X   X 28-4580      1824
LOGICVISION INC                COM NEW        54140W305         34,500      34,500       X   X 28-5284               34500
LONGTOP FINL TECHNOLOGIES LT   ADR            54318P108        153,918       7,250       X   X 28-5284      7150               100
LOOPNET INC                    COM            543524300         15,851       2,607       X   X 28-5284      2607
LORAL SPACE & COMMUNICATNS I   COM            543881106            491          23       X     28-5284        23
LORILLARD INC                  COM            544147101         30,870         500       X     28-5284       500
                                                                 1,297          21       X   X 28-5284        21
LOUISIANA PAC CORP             COM            546347105          8,340       3,740       X     28-5284      1300              2440
                                                                 9,616       4,312       X   X 28-5284      4312
                                                                   462         207       X     28-4580       207
LOWES COS INC                  COM            548661107     10,911,091     597,868       X     28-5284    576922             20946
                                                             6,858,587     375,813       X   X 28-5284    358188      1700   15925
                                                               548,212      30,039       X     28-12474    28085              1954
                                                               165,290       9,057       X   X 28-12474     8508               549
                                                                 8,541         468       X     28-11135      468
                                                               113,150       6,200       X     28-4580      6200
                                                                41,647       2,282       X   X 28-4580      2282
LUBRIZOL CORP                  COM            549271104        220,725       6,490       X     28-5284      4350              2140
                                                               449,782      13,225       X   X 28-5284      9325              3900
                                                                71,999       2,117       X     28-11135     2117
LUFKIN INDS INC                COM            549764108          1,515          40       X     28-5284        40
                                                                20,228         534       X   X 28-5284        34               500
   COLUMN TOTAL                                             59,722,194







                                                                                                                  FILE NO. 28-1235
PAGE 135 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
LUMBER LIQUIDATORS INC         COM            55003Q103         54,825       4,300       X   X 28-5284      4300
LUMINEX CORP DEL               COM            55027E102         16,308         900       X     28-5284       900
                                                               236,267      13,039       X     28-11135    13039
LUXOTTICA GROUP S P A          SPONSORED ADR  55068R202          7,638         496       X     28-5284       496
LYDALL INC DEL                 COM            550819106            386         130       X     28-5284                         130
M & T BK CORP                  COM            55261F104      1,405,426      31,066       X     28-5284     30188               878
                                                             2,324,929      51,391       X   X 28-5284     48891              2500
MBIA INC                       COM            55262C100         42,640       9,310       X     28-5284      9310
                                                                32,037       6,995       X   X 28-5284      6995
MB FINANCIAL INC NEW           COM            55264U108            204          15       X   X 28-5284                          15
M D C HLDGS INC                COM            552676108        105,253       3,380       X     28-5284      3200               180
                                                                 8,532         274       X   X 28-5284       274
MDU RES GROUP INC              COM            552690109         81,055       5,022       X     28-5284      5022
                                                               204,219      12,653       X   X 28-5284     12653
MEMC ELECTR MATLS INC          COM            552715104         40,499       2,456       X     28-5284      1566               890
                                                                77,503       4,700       X   X 28-5284      2500              2200
                                                               257,838      15,636       X     28-11135    15636
MFS CHARTER INCOME TR          SH BEN INT     552727109         90,636      12,450       X     28-5284     12450
                                                               112,825      15,498       X   X 28-5284      1698             13800
MFS INTER INCOME TR            SH BEN INT     55273C107         16,354       2,600       X   X 28-5284                        2600
MFS MULTIMARKET INCOME TR      SH BEN INT     552737108        175,616      34,300       X   X 28-5284      1000             33300
MFS MUN INCOME TR              SH BEN INT     552738106         31,020       6,000       X     28-5284      6000
                                                                10,340       2,000       X   X 28-5284                        2000
MGE ENERGY INC                 COM            55277P104         25,755         821       X     28-5284       821
                                                                71,398       2,276       X   X 28-5284      2276
MGIC INVT CORP WIS             COM            552848103          9,798       6,900       X   X 28-5284      6900
MFS GOVT MKTS INCOME TR        SH BEN INT     552939100         18,225       2,500       X   X 28-5284                        2500
   COLUMN TOTAL                                              5,457,526







                                                                                                                  FILE NO. 28-1235
PAGE 136 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
MGM MIRAGE                     COM            552953101          6,666       2,861       X     28-5284      2861
                                                                15,019       6,446       X   X 28-5284      6446
MI DEVS INC                    CL A SUB VTG   55304X104          1,535         250       X   X 28-5284       250
MKS INSTRUMENT INC             COM            55306N104         60,881       4,150       X   X 28-5284      4150
MLP & STRATEGIC EQUITY FD IN   COM            55312N106        226,022      22,159       X   X 28-5284     22159
MPS GROUP INC                  COM            553409103            678         114       X     28-5284       114
MSCI INC                       CL A           55354G100          4,735         280       X     28-5284                         280
MTS MEDICATION TECHNLGS INC    COM            553773102          1,982         560       X   X 28-5284       560
MTS SYS CORP                   COM            553777103        111,475       4,900       X     28-5284      4900
                                                               310,879      13,665       X   X 28-5284       425             13240
MWI VETERINARY SUPPLY INC      COM            55402X105          5,468         192       X   X 28-5284       192
MACERICH CO                    COM            554382101          2,623         419       X     28-5284       419
                                                               395,569      63,190       X     28-12474    63190
                                                               121,507      19,410       X   X 28-12474    19410
MACK CALI RLTY CORP            COM            554489104         30,943       1,562       X     28-5284      1402               160
                                                               123,713       6,245       X   X 28-5284      5245              1000
                                                               321,318      16,220       X     28-12474    16220
                                                               284,274      14,350       X   X 28-12474    14350
MACKINAC FINL CORP             COM            554571109        100,000      25,000       X   X 28-5284     25000
MACQUARIE FT TR GB INF UT DI   COM            55607W100          9,244       1,199       X     28-5284      1199
MACQUARIE INFRASTR CO LLC      MEMBERSHIP INT 55608B105          5,824       4,220       X     28-5284      4220
                                                                 9,246       6,700       X   X 28-5284      6700
MACQUARIE GLBL INFRA TOTL RE   COM            55608D101          4,822         513       X     28-5284       513
                                                                    28           3       X   X 28-5284         3
MACROVISION SOLUTIONS CORP     COM            55611C108          2,224         125       X     28-5284       125
   COLUMN TOTAL                                              2,156,675







                                                                                                                  FILE NO. 28-1235
PAGE 137 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
MACYS INC                      COM            55616P104        442,900      49,764       X     28-5284     47309              2455
                                                               553,411      62,181       X   X 28-5284     56811              5370
                                                                 3,783         425       X     28-4580       425
MADDEN STEVEN LTD              COM            556269108         24,358       1,297       X     28-5284      1297
MAG SILVER CORP                COM            55903Q104        336,000      75,000       X     28-5284     75000
                                                             1,019,200     227,500       X   X 28-5284    227500
MAGELLAN MIDSTREAM HLDGS LP    COM LP INTS    55907R108        105,000       6,000       X     28-5284      6000
                                                               144,375       8,250       X   X 28-5284      8250
MAGELLAN MIDSTREAM PRTNRS LP   COM UNIT RP LP 559080106        173,283       5,900       X     28-5284      5900
                                                               344,745      11,738       X   X 28-5284      7738      3400     600
MAGELLAN PETE CORP             COM            559091301        355,407     518,842       X   X 28-5284              518842
MAGNA INTL INC                 CL A           559222401            187           7       X     28-5284         7
                                                                 7,035         263       X   X 28-5284       263
MAGNETEK INC                   COM            559424106            396         220       X     28-5284                         220
                                                               816,944     453,858       X   X 28-5284              453858
MAGUIRE PPTYS INC              COM            559775101            533         740       X     28-5284       740
                                                                   720       1,000       X   X 28-5284      1000
MAGYAR TELEKOM TELECOMMUNS P   SPONSORED ADR  559776109          1,139         100       X   X 28-5284       100
MAINSOURCE FINANCIAL GP INC    COM            56062Y102         12,864       1,600       X     28-5284      1600
MANAGEMENT NETWORK GROUP INC   COM            561693102        239,134     629,300       X   X 28-5284              629300
MANHATTAN ASSOCS INC           COM            562750109          3,637         210       X     28-5284                         210
                                                                38,104       2,200       X   X 28-5284      2200
                                                                38,728       2,236       X     28-11135     2236
MANITOWOC INC                  COM            563571108         88,035      26,922       X     28-5284     26922
                                                                15,418       4,715       X   X 28-5284      4715
                                                                   314          96       X     28-11135       96
MANPOWER INC                   COM            56418H100         80,118       2,541       X     28-5284       351              2190
   COLUMN TOTAL                                              4,845,768







                                                                                                                  FILE NO. 28-1235
PAGE 138 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
MANTECH INTL CORP              CL A           564563104         42,612       1,017       X     28-11135     1017
MANULIFE FINL CORP             COM            56501R106      1,118,242      99,843       X     28-5284     99539               304
                                                               686,067      61,256       X   X 28-5284     56256              5000
                                                                   280          25       X     28-11135       25
MARATHON OIL CORP              COM            565849106      3,436,629     130,720       X     28-5284    123868       400    6452
                                                             2,109,983      80,258       X   X 28-5284     69708      5200    5350
                                                               625,544      23,794       X     28-12474    21808              1986
                                                               241,815       9,198       X   X 28-12474     8641               557
                                                               826,268      31,429       X     28-11135    31429
                                                                31,548       1,200       X     28-4580      1200
                                                                 6,573         250       X   X 28-4580       250
MARCUS CORP                    COM            566330106         19,550       2,300       X   X 28-5284      2300
MARINE PETE TR                 UNIT BEN INT   568423107          8,995         500       X     28-5284       500
MARINER ENERGY INC             COM            56845T305         79,825      10,300       X     28-5284     10300
                                                               272,800      35,200       X   X 28-5284     35200
                                                                67,363       8,692       X     28-11135     8692
MARKEL CORP                    COM            570535104         12,491          44       X     28-5284        44
                                                               348,889       1,229       X   X 28-5284       644               585
                                                                 6,529          23       X     28-11135       23
MARKETAXESS HLDGS INC          COM            57060D108         26,740       3,500       X   X 28-5284      3500
MARKET VECTORS ETF TR          GOLD MINER ETF 57060U100        498,802      13,525       X     28-5284     13525
                                                               288,217       7,815       X   X 28-5284      7345               470
                                                               505,256      13,700       X     28-4580      7900              5800
                                                             1,253,920      34,000       X   X 28-4580     34000
MARKET VECTORS ETF TR          MV ENVIR SVCS  57060U209          2,713          96       X   X 28-5284        96
MARKET VECTORS ETF TR          MV STEEL INDEX 57060U308         17,088         625       X   X 28-5284       625
MARKET VECTORS ETF TR          GBL ALTER ENRG 57060U407        208,372      11,300       X     28-5284     11300
                                                               177,835       9,644       X   X 28-5284      9644
MARKET VECTORS ETF TR          RUSSIA ETF     57060U506            632          45       X     28-5284        45
   COLUMN TOTAL                                             12,921,578







                                                                                                                  FILE NO. 28-1235
PAGE 139 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
MARKET VECTORS ETF TR          AGRIBUS ETF    57060U605         20,100         710       X     28-5284       710
                                                                 2,831         100       X   X 28-5284       100
                                                                 2,831         100       X   X 28-4580       100
MARKET VECTORS ETF TR          NUC ENERGY ETF 57060U704         86,500       5,000       X     28-5284      5000
                                                                56,588       3,271       X   X 28-5284      3271
MARKET VECTORS ETF TR          SOLAR ENRG ETF 57060U811            342          30       X     28-5284        30
MARKWEST ENERGY PARTNERS L P   UNIT LTD PARTN 570759100          2,898         250       X   X 28-5284       250
MARSH & MCLENNAN COS INC       COM            571748102        781,184      38,577       X     28-5284     37157              1420
                                                               616,613      30,450       X   X 28-5284     29400              1050
                                                                31,793       1,570       X     28-4580      1570
                                                                99,306       4,904       X   X 28-4580      4904
MARSHALL & ILSLEY CORP NEW     COM            571837103            563         100       X     28-5284       100
                                                               134,495      23,889       X   X 28-5284       569             23320
MARRIOTT INTL INC NEW          CL A           571903202      3,140,547     191,965       X     28-5284    187935              4030
                                                             4,681,021     286,126       X   X 28-5284    285676       450
                                                                   327          20       X   X 28-12474       20
                                                                   982          60       X     28-11135       60
                                                               105,031       6,420       X     28-4580      6420
                                                                43,354       2,650       X   X 28-4580      2650
MARTEK BIOSCIENCES CORP        COM            572901106         13,049         715       X     28-5284       715
MARTHA STEWART LIVING OMNIME   CL A           573083102          1,245         500       X     28-4580       500
MARTIN MARIETTA MATLS INC      COM            573284106        193,254       2,437       X     28-5284      2437
                                                                98,808       1,246       X   X 28-5284      1246
MARTIN MIDSTREAM PRTNRS L P    UNIT L P INT   573331105          5,631         300       X     28-5284       300
MARVEL ENTERTAINMENT INC       COM            57383T103          3,983         150       X     28-5284       150
                                                                 5,390         203       X   X 28-5284       203
MASCO CORP                     COM            574599106        156,080      22,361       X     28-5284     19771              2590
                                                               354,856      50,839       X   X 28-5284     46039      2800    2000
                                                               142,252      20,380       X     28-12474    18250              2130
                                                                 2,792         400       X   X 28-12474      400
                                                                   147          21       X     28-11135       21
   COLUMN TOTAL                                             10,784,793







                                                                                                                  FILE NO. 28-1235
PAGE 140 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
MASIMO CORP                    COM            574795100         54,193       1,870       X   X 28-5284      1870
MASSEY ENERGY CORP             COM            576206106          2,368         234       X     28-5284       234
                                                                13,875       1,371       X   X 28-5284      1296                75
                                                                36,978       3,654       X     28-11135     3654
                                                               231,242      22,850       X     28-11439    22850
MASSMUTUAL CORPORATE INVS IN   COM            576292106          7,612         448       X     28-5284       448
MASSMUTUAL PARTN INVS          SH BEN INT     576299101          6,800         800       X     28-5284       800
MASTECH HOLDINGS INC           COM            57633B100            132          66       X   X 28-5284        66
MASTERCARD INC                 CL A           57636Q104     17,179,596     102,577       X     28-5284     96878        80    5619
                                                             6,313,159      37,695       X   X 28-5284     32180      1895    3620
                                                            11,922,734      71,189       X     28-12474    66021              5168
                                                             3,306,055      19,740       X   X 28-12474    17389       479    1872
                                                               153,579         917       X     28-11135      917
                                                               701,071       4,186       X     28-4580      4116                70
                                                               370,968       2,215       X   X 28-4580      2215
MATRIXX INITIATIVES INC        COM            57685L105        580,478      35,395       X     28-5284     35395
                                                                 8,200         500       X   X 28-5284                         500
MATRIX SVC CO                  COM            576853105            436          53       X   X 28-5284        53
                                                               116,551      14,179       X     28-11135    14179
MATTEL INC                     COM            577081102        443,352      38,452       X     28-5284     38277               175
                                                               253,130      21,954       X   X 28-5284     15004      5950    1000
                                                               305,038      26,456       X     28-11135    26456
                                                                19,313       1,675       X   X 28-4580      1675
MATTHEWS INTL CORP             CL A           577128101        104,436       3,625       X     28-5284      3625
                                                                63,382       2,200       X   X 28-5284      2200
MAXIM INTEGRATED PRODS INC     COM            57772K101      1,111,291      84,125       X     28-5284     82490              1635
                                                               478,202      36,200       X   X 28-5284     20035       900   15265
                                                               582,693      44,110       X     28-12474    36530              7580
                                                                19,022       1,440       X   X 28-12474     1440
                                                                33,197       2,513       X     28-11135     2513
                                                                 2,642         200       X     28-4580       200
MAXIMUS INC                    COM            577933104          6,378         160       X     28-5284                         160
   COLUMN TOTAL                                             44,428,103







                                                                                                                  FILE NO. 28-1235
PAGE 141 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
MAYS J W INC                   COM            578473100            441         100       X     28-4580       100
MCAFEE INC                     COM            579064106         74,270       2,217       X     28-5284      2217
                                                               129,980       3,880       X   X 28-5284      3880
                                                               108,473       3,238       X     28-11135     3238
MCCLATCHY CO                   CL A           579489105            325         664       X   X 28-5284       664
MCCORMICK & CO INC             COM VTG        579780107        237,912       8,024       X   X 28-5284      5024              3000
MCCORMICK & CO INC             COM NON VTG    579780206      6,476,924     219,037       X     28-5284    208327       300   10410
                                                             9,481,473     320,645       X   X 28-5284    253465             67180
                                                               335,560      11,348       X     28-12474    10399               949
                                                               129,753       4,388       X   X 28-12474     4122               266
                                                                 3,637         123       X     28-11135      123
                                                                52,043       1,760       X     28-4580      1760
                                                                55,946       1,892       X   X 28-4580      1892
MCDERMOTT INTL INC             COM            580037109         77,622       5,797       X     28-5284      5797
                                                                80,340       6,000       X   X 28-5284      6000
                                                               298,035      22,258       X     28-11135    22258
                                                                   469          35       X     28-4580        35
MCDONALDS CORP                 COM            580135101     82,807,083   1,517,447       X     28-5284   1467941       370   49136
                                                            62,066,226   1,137,369       X   X 28-5284   1088062     16930   32377
                                                            13,926,755     255,209       X     28-12474   237629             17580
                                                             3,495,154      64,049       X   X 28-12474    57059      1338    5652
                                                               625,154      11,456       X     28-11135    11456
                                                             1,221,167      22,378       X     28-4580     22108               270
                                                               768,400      14,081       X   X 28-4580     14081
MCGRATH RENTCORP               COM            580589109          2,128         135       X     28-11135      135
MCGRAW HILL COS INC            COM            580645109     10,112,634     442,179       X     28-5284    436719              5460
                                                             9,234,609     403,787       X   X 28-5284    388327       575   14885
                                                                    23           1       X     28-12474        1
                                                                   252          11       X   X 28-12474       11
                                                                 3,865         169       X     28-11135      169
                                                               335,137      14,654       X     28-4580     14654
                                                                62,801       2,746       X   X 28-4580      2746
   COLUMN TOTAL                                            202,204,591







                                                                                                                  FILE NO. 28-1235
PAGE 142 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
MCKESSON CORP                  COM            58155Q103      7,929,727     226,305       X     28-5284    213433       250   12622
                                                             1,789,528      51,071       X   X 28-5284     48056      1210    1805
                                                             7,134,039     203,597       X     28-12474   188571             15026
                                                             1,742,890      49,740       X   X 28-12474    44419      1024    4297
                                                               103,298       2,948       X     28-11135     2948
                                                               280,320       8,000       X     28-4580      7840               160
                                                                69,099       1,972       X   X 28-4580      1972
MCMORAN EXPLORATION CO         COM            582411104            470         100       X     28-5284       100
                                                                   451          96       X   X 28-5284        96
MEAD JOHNSON NUTRITION CO      COM CL A       582839106         28,870       1,000       X   X 28-5284      1000
MEADWESTVACO CORP              COM            583334107        531,241      44,307       X     28-5284      6647             37660
                                                                83,894       6,997       X   X 28-5284      6406               591
                                                                 4,208         351       X     28-11135      351
MECHEL OAO                     SPONSORED ADR  583840103          1,847         443       X     28-5284       443
MEDAREX INC                    COM            583916101        205,200      40,000       X     28-5284     40000
                                                                61,560      12,000       X   X 28-5284     12000
                                                                85,948      16,754       X     28-11135    16754
MEDCO HEALTH SOLUTIONS INC     COM            58405U102     24,504,078     592,745       X     28-5284    559071             33674
                                                            28,616,375     692,220       X   X 28-5284    640295      8042   43883
                                                             7,818,138     189,118       X     28-12474   175872             13246
                                                             2,125,124      51,406       X   X 28-12474    45431      1265    4710
                                                                   827          20       X     28-11135       20
                                                               503,439      12,178       X     28-4580     11998               180
                                                               199,590       4,828       X   X 28-4580      4828
MEDIA GEN INC                  CL A           584404107          1,920       1,000       X     28-5284      1000
MEDICAL NUTRITION USA INC      COM            58461X107        979,624     597,332       X     28-5284    597332
MEDICAL PPTYS TRUST INC        COM            58463J304         10,950       3,000       X   X 28-5284      3000
                                                               171,670      47,033       X     28-12474    47033
                                                                88,721      24,307       X   X 28-12474    24307
MEDICINOVA INC                 COM NEW        58468P206         90,967      30,526       X   X 28-5284               30526
MEDICINES CO                   COM            584688105         63,674       5,874       X     28-11135     5874
   COLUMN TOTAL                                             85,227,687







                                                                                                                  FILE NO. 28-1235
PAGE 143 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
MEDICIS PHARMACEUTICAL CORP    CL A NEW       584690309            619          50       X     28-5284        50
                                                                35,873       2,900       X   X 28-5284      2900
MEDNAX INC                     COM            58502B106          1,208          41       X     28-5284        41
                                                                 1,827          62       X   X 28-5284        62
MEDTRONIC INC                  NOTE  1.500% 4 585055AL0         94,125       1,000       X     28-5284      1000
MEDTRONIC INC                  NOTE  1.625% 4 585055AM8         88,375       1,000       X     28-5284      1000
MEDTRONIC INC                  COM            585055106     12,061,924     409,295       X     28-5284    396915             12380
                                                            11,613,361     394,074       X   X 28-5284    332071      1400   60603
                                                                66,101       2,243       X     28-11135     2243
                                                                47,948       1,627       X     28-4580      1627
                                                               365,723      12,410       X   X 28-4580     12410
MELCO CROWN ENTMT LTD          ADR            585464100          2,132         650       X   X 28-5284       650
MENS WEARHOUSE INC             COM            587118100         36,942       2,440       X     28-5284      2000               440
                                                                 5,102         337       X   X 28-5284       337
MENTOR GRAPHICS CORP           COM            587200106         13,320       3,000       X   X 28-5284      3000
MERCADOLIBRE INC               COM            58733R102         12,985         700       X     28-5284       700
MERCHANTS BANCSHARES           COM            588448100         18,500       1,000       X   X 28-5284      1000
MERCK & CO INC                 COM            589331107     52,340,602   1,956,658       X     28-5284   1913567       850   42241
                                                           110,736,654   4,139,688       X   X 28-5284   3929491     43061  167136
                                                             2,800,725     104,700       X     28-12474    98841              5859
                                                               555,410      20,763       X   X 28-12474    19602              1161
                                                               683,195      25,540       X     28-11135    25540
                                                               916,990      34,280       X     28-4580     33080              1200
                                                             1,694,693      63,353       X   X 28-4580     61227      2126
MERCURY COMPUTER SYS           COM            589378108            995         180       X     28-5284                         180
MEREDITH CORP                  COM            589433101          8,320         500       X     28-5284                         500
MERIDIAN BIOSCIENCE INC        COM            589584101          4,349         240       X     28-5284       240
                                                               117,943       6,509       X   X 28-5284      6509
                                                                12,068         666       X     28-11135      666
   COLUMN TOTAL                                            194,338,009







                                                                                                                  FILE NO. 28-1235
PAGE 144 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
MERIT MED SYS INC              COM            589889104        150,317      12,311       X     28-11135    12311
MESA AIR GROUP INC             COM            590479101             21         163       X     28-11135      163
MESA RTY TR                    UNIT BEN INT   590660106         13,150         500       X     28-5284       500
METAVANTE TECHNOLOGIES INC     COM            591407101         61,038       3,058       X     28-5284      3058
                                                               180,359       9,036       X   X 28-5284      1189              7847
METHANEX CORP                  COM            59151K108            781         100       X     28-5284       100
METHODE ELECTRS INC            COM            591520200          1,038         290       X     28-5284                         290
                                                                   294          82       X     28-11135       82
METLIFE INC                    COM            59156R108      2,034,568      89,353       X     28-5284     78028             11325
                                                               995,277      43,710       X   X 28-5284     41587       510    1613
                                                               322,400      14,159       X     28-11135    14159
                                                                34,314       1,507       X     28-4580      1507
                                                                10,816         475       X   X 28-4580       475
METROPCS COMMUNICATIONS INC    COM            591708102            120           7       X   X 28-5284         7
METTLER TOLEDO INTERNATIONAL   COM            592688105         25,716         501       X   X 28-5284       501
                                                                 8,315         162       X     28-11135      162
MEXICO EQUITY & INCOME FD      COM            592834105          3,625         853       X     28-5284       853
MEXICO FD INC                  COM            592835102          3,063         245       X   X 28-5284                 245
MFS HIGH INCOME MUN TR         SH BEN INT     59318D104          1,765         500       X     28-5284       500
MFS INTERMARKET INCOME TRUST   SH BEN INT     59318R103          3,460         500       X     28-5284       500
                                                               119,716      17,300       X   X 28-5284                       17300
MICROS SYS INC                 COM            594901100         42,563       2,270       X     28-5284      1600               670
                                                                 5,344         285       X   X 28-5284       285
                                                               200,400      10,688       X     28-11135    10688
   COLUMN TOTAL                                              4,218,460







                                                                                                                  FILE NO. 28-1235
PAGE 145 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
MICROSOFT CORP                 COM            594918104     82,871,809   4,511,258       X     28-5284   4209672      1400  300186
                                                            62,248,564   3,388,599       X   X 28-5284   3010736     58180  319683
                                                            13,599,311     740,300       X     28-12474   689152             51148
                                                             3,163,296     172,199       X   X 28-12474   154762      3623   13814
                                                               940,948      51,222       X     28-11135    51222
                                                             1,746,932      95,097       X     28-4580     94527               570
                                                             1,746,950      95,098       X   X 28-4580     94938               160
MICROSTRATEGY INC              CL A NEW       594972408            547          16       X     28-5284        10                 6
                                                                34,840       1,019       X     28-11135     1019
MICROCHIP TECHNOLOGY INC       COM            595017104        368,770      17,403       X     28-5284     13503              3900
                                                               407,717      19,241       X   X 28-5284     11156              8085
                                                                44,817       2,115       X     28-12474      915              1200
                                                                 4,874         230       X   X 28-12474      230
                                                                13,032         615       X     28-11135      615
                                                                   784          37       X     28-4580        37
MICRON TECHNOLOGY INC          COM            595112103          8,120       2,000       X   X 28-5284      2000
MICROSEMI CORP                 COM            595137100          7,772         670       X     28-5284                         670
                                                                 3,248         280       X   X 28-5284       280
MID-AMER APT CMNTYS INC        COM            59522J103         27,747         900       X   X 28-5284       900
                                                               228,450       7,410       X     28-12474     7410
                                                                 6,166         200       X   X 28-12474      200
MID PENN BANCORP INC           COM            59540G107         21,337       1,123       X   X 28-5284                        1123
MIDAS GROUP INC                COM            595626102            950         120       X     28-5284                         120
                                                                   325          41       X   X 28-5284        41
MIDCAP SPDR TR                 UNIT SER 1     595635103    113,121,988   1,276,916       X     28-5284   1193215             83701
                                                            29,901,251     337,524       X   X 28-5284    285276     10253   41995
                                                             1,042,704      11,770       X     28-4580     11470               300
                                                               527,111       5,950       X   X 28-4580      5950
MIDDLEBURG FINANCIAL CORP      COM            596094102        112,222       9,784       X   X 28-5284                        9784
MIDDLEBY CORP                  COM            596278101         27,241         840       X   X 28-5284       840
MIDDLESEX WATER CO             COM            596680108         20,578       1,429       X     28-5284      1429
                                                                62,395       4,333       X   X 28-5284      4333
   COLUMN TOTAL                                            312,312,796







                                                                                                                  FILE NO. 28-1235
PAGE 146 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
MILLENNIUM INDIA ACQS COM IN   *W EXP 07/19/2 60039Q119             30       1,000       X   X 28-5284      1000
MILLER HERMAN INC              COM            600544100         47,767       4,481       X     28-5284      4481
MILLIPORE CORP                 COM            601073109        749,488      13,055       X     28-5284      9195              3860
                                                               739,556      12,882       X   X 28-5284      8482              4400
MINDRAY MEDICAL INTL LTD       SPON ADR       602675100        169,459       9,155       X     28-5284      8100              1055
                                                                21,287       1,150       X   X 28-5284      1150
MINE SAFETY APPLIANCES CO      COM            602720104      2,142,420     107,014       X     28-5284    107014
                                                            49,126,678   2,453,880       X   X 28-5284     50783     18335 2384762
MINERALS TECHNOLOGIES INC      COM            603158106          4,808         150       X   X 28-5284       150
MIRANT CORP NEW                COM            60467R100        114,148      10,013       X   X 28-5284     10013
                                                                   103           9       X     28-4580         9
MIRANT CORP NEW                *W EXP 01/03/2 60467R118             26          33       X   X 28-5284        33
                                                                    22          28       X     28-4580        28
MITSUBISHI UFJ FINL GROUP IN   SPONSORED ADR  606822104         13,742       2,793       X     28-5284      2793
                                                                18,863       3,834       X   X 28-5284      3834
                                                                90,799      18,455       X     28-11135    18455
MITSUI & CO LTD                ADR            606827202         10,523          52       X     28-5284        52
                                                                 1,012           5       X     28-11135        5
MIZUHO FINL GROUP INC          SPONSORED ADR  60687Y109          2,653         675       X     28-5284       675
                                                                12,104       3,080       X   X 28-5284      3080
MOBILE MINI INC                COM            60740F105          3,341         290       X     28-5284                         290
                                                                 1,509         131       X     28-11135      131
MOBILE TELESYSTEMS OJSC        SPONSORED ADR  607409109         14,960         500       X   X 28-5284                         500
MODUSLINK GLOBAL SOLUTIONS I   COM            60786L107             26          10       X     28-5284        10
                                                               293,641     113,375       X   X 28-5284        60    113315
MOHAWK INDS INC                COM            608190104          4,779         160       X     28-5284       160
                                                                59,979       2,008       X   X 28-5284      2008
MOLECULAR INSIGHT PHARM INC    COM            60852M104         10,680       3,000       X     28-5284      3000
   COLUMN TOTAL                                             53,654,403







                                                                                                                  FILE NO. 28-1235
PAGE 147 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
MOLINA HEALTHCARE INC          COM            60855R100            685          36       X     28-11135       36
MOLEX INC                      COM            608554101         24,210       1,762       X     28-5284        62              1700
                                                                20,610       1,500       X   X 28-5284      1500
MOLEX INC                      CL A           608554200          5,385         426       X     28-5284       426
                                                               197,753      15,645       X   X 28-5284     14145              1500
MOLSON COORS BREWING CO        NOTE  2.500% 7 60871RAA8        305,250       3,000       X     28-5284      3000
MOLSON COORS BREWING CO        CL B           60871R209      1,485,044      43,321       X     28-5284     41901              1420
                                                               838,900      24,472       X   X 28-5284     23937               535
                                                                    34           1       X     28-11135        1
                                                                 5,999         175       X     28-4580       175
                                                                 1,714          50       X   X 28-4580        50
MONEYGRAM INTL INC             COM            60935Y109          2,971       2,518       X     28-5284      2518
MONOLITHIC PWR SYS INC         COM            609839105            775          50       X   X 28-5284        50
MONOTYPE IMAGING HOLDINGS IN   COM            61022P100          2,345         627       X     28-11135      627
MONSANTO CO NEW                COM            61166W101     21,404,233     257,572       X     28-5284    243510       120   13942
                                                            13,987,143     168,317       X   X 28-5284    152115      2578   13624
                                                            12,658,291     152,326       X     28-12474   142491              9835
                                                             3,058,246      36,802       X   X 28-12474    32911       761    3130
                                                               774,908       9,325       X     28-11135     9325
                                                               882,273      10,617       X     28-4580     10497               120
                                                               362,482       4,362       X   X 28-4580      4362
MONSTER WORLDWIDE INC          COM            611742107          2,241         275       X     28-5284       275
                                                                    65           8       X   X 28-5284         8
                                                                54,532       6,691       X     28-11135     6691
MONTGOMERY STR INCOME SECS I   COM            614115103        134,200      10,000       X   X 28-5284                       10000
MOODYS CORP                    COM            615369105      2,404,102     104,891       X     28-5284    101151              3740
                                                             2,192,596      95,663       X   X 28-5284     91181       200    4282
                                                                   206           9       X   X 28-12474        9
                                                                 1,467          64       X     28-11135       64
                                                                62,801       2,740       X   X 28-4580      2740
MOOG INC                       CL A           615394202         55,002       2,405       X   X 28-5284       205              2200
   COLUMN TOTAL                                             60,926,463







                                                                                                                  FILE NO. 28-1235
PAGE 148 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
MORGAN STANLEY EASTN EUR FD    COM            616988101            684          87       X     28-5284        87
MORGAN STANLEY HIGH YIELD FD   COM            61744M104         14,976       3,900       X   X 28-5284      3600               300
MORGAN STANLEY ASIA PAC FD I   COM            61744U106         25,275       2,686       X   X 28-5284      2686
MORGAN STANLEY                 COM NEW        617446448      4,853,198     213,140       X     28-5284    207310              5830
                                                             5,633,093     247,391       X   X 28-5284    233404       600   13387
                                                               354,870      15,585       X     28-12474    14185              1400
                                                                 5,920         260       X   X 28-12474      260
                                                                63,301       2,780       X     28-11135     2780
                                                                45,381       1,993       X     28-4580      1993
                                                                36,705       1,612       X   X 28-4580      1612
MORGAN STANLEY INDIA INVS FD   COM            61745C105          1,219         100       X     28-5284       100
MORGAN STANLEY                 MUN PREM INCOM 61745P429         26,160       4,000       X   X 28-5284                        4000
MORGAN STANLEY                 QULTY MUN SECS 61745P585         60,170       5,500       X   X 28-5284      5500
MORGAN STANLEY                 QLT MUN INV TR 61745P668         15,600       1,500       X   X 28-5284      1500
                                                                26,395       2,538       X     28-4580      2538
MORGAN STANLEY                 QUALT MUN INCM 61745P734        113,300      11,000       X   X 28-5284     11000
MORGAN STANLEY                 INSD MUN INCM  61745P791        396,975      33,500       X     28-5284     33500
MORGAN STANLEY                 INSD MUN SECS  61745P833         48,727       3,500       X   X 28-5284      3500
MORGAN STANLEY                 INSD MUN TR    61745P866         14,963       1,300       X     28-5284      1300
MORGAN STANLEY                 INCOME SEC INC 61745P874          6,512         496       X     28-5284       496
                                                                57,772       4,400       X   X 28-5284                        4400
MORGAN STANLEY CHINA A SH FD   COM            617468103         12,030         406       X   X 28-5284       406
MORGAN STANLEY EMERG MKT DOM   COM            617477104            908         100       X     28-5284       100
MORNINGSTAR INC                COM            617700109        114,403       3,350       X   X 28-5284      3150               200
MOSAIC CO                      COM            61945A107         32,241         768       X     28-5284       768
                                                               301,920       7,192       X   X 28-5284      7092               100
   COLUMN TOTAL                                             12,262,698







                                                                                                                  FILE NO. 28-1235
PAGE 149 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
MOTOROLA INC                   COM            620076109      2,091,549     494,456       X     28-5284    478306             16150
                                                             1,903,881     450,090       X   X 28-5284    431081      7200   11809
                                                               239,735      56,675       X     28-12474    56675
                                                               311,666      73,680       X     28-11135    73680
                                                                 9,805       2,318       X     28-4580      2318
MUELLER INDS INC               COM            624756102         13,448         620       X     28-5284       300               320
MULTI COLOR CORP               COM            625383104          1,223         100       X     28-5284                         100
MULTI FINELINE ELECTRONIX IN   COM            62541B101            404          24       X   X 28-5284        24
MURPHY OIL CORP                COM            626717102      1,602,497      35,794       X     28-5284     33994              1800
                                                             1,748,492      39,055       X   X 28-5284     36855       900    1300
MYERS INDS INC                 COM            628464109          1,277         208       X     28-5284                         208
MYLAN INC                      COM            628530107        144,600      10,783       X     28-5284      6513              4270
                                                                77,751       5,798       X   X 28-5284      3100              2698
                                                                 3,353         250       X     28-4580       250
                                                                17,513       1,306       X   X 28-4580      1306
MYRIAD GENETICS INC            COM            62855J104         50,472       1,110       X     28-5284      1110
                                                               146,141       3,214       X     28-11135     3214
NBT BANCORP INC                COM            628778102        293,222      13,550       X     28-5284     13550
                                                               176,994       8,179       X   X 28-5284      8179
NBTY INC                       COM            628782104      1,068,968      75,921       X     28-5284     75921
                                                                 1,239          88       X   X 28-5284        88
                                                                   563          40       X     28-11135       40
NCI BUILDING SYS INC           COM            628852105         27,790      12,518       X     28-11135    12518
NCR CORP NEW                   COM            62886E108          6,988         879       X     28-5284       879
                                                                15,192       1,911       X   X 28-5284      1715               196
NGP CAP RES CO                 COM            62912R107            174          35       X     28-11135       35
NGAS RESOURCES INC             COM            62912T103            605         500       X     28-5284       500
NII HLDGS INC                  CL B NEW       62913F201         67,500       4,500       X   X 28-5284                        4500
                                                                   315          21       X     28-11135       21
   COLUMN TOTAL                                             10,023,357







                                                                                                                  FILE NO. 28-1235
PAGE 150 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
NRG ENERGY INC                 COM NEW        629377508          1,760         100       X   X 28-5284       100
NTT DOCOMO INC                 SPONS ADR      62942M201         15,807       1,158       X     28-5284      1158
                                                                12,080         885       X   X 28-5284       885
                                                                76,058       5,572       X     28-11135     5572
                                                                 4,436         325       X     28-4580       325
NVR INC                        COM            62944T105         42,775         100       X     28-5284       100
NYSE EURONEXT                  COM            629491101        355,780      19,876       X     28-5284     18836              1040
                                                               240,218      13,420       X   X 28-5284     10210              3210
                                                               231,805      12,950       X     28-12474    11873              1077
                                                                89,643       5,008       X   X 28-12474     4705               303
                                                                 2,112         118       X     28-11135      118
                                                               496,206      27,721       X                 27721
NACCO INDS INC                 CL A           629579103        312,407      11,494       X   X 28-5284     11494
NALCO HOLDING COMPANY          COM            62985Q101        261,400      20,000       X   X 28-5284     20000
                                                                 8,757         670       X     28-12474      670
NAM TAI ELECTRS INC            COM PAR $0.02  629865205         34,224       9,200       X   X 28-5284      2200      7000
NANOGEN INC                    COM            630075109             45         750       X     28-5284       750
NANOPHASE TCHNOLOGIES CORP     COM            630079101             18          20       X     28-5284        20
NASDAQ OMX GROUP INC           COM            631103108         45,484       2,323       X     28-5284      2323
                                                                48,265       2,465       X   X 28-5284      2465
                                                               361,251      18,450       X     28-11135    18450
NASH FINCH CO                  COM            631158102          3,090         110       X     28-5284                         110
                                                                   449          16       X   X 28-5284        16
NASHUA CORP                    COM            631226107          5,880       6,000       X     28-5284                        6000
NATIONAL BK GREECE S A         SPONSORED ADR  633643408          8,593       2,790       X     28-5284      2790
NATIONAL CITY CORP             NOTE  4.000% 2 635405AW3     18,225,000     200,000       X   X 28-5284    200000
NATIONAL FINL PARTNERS CORP    COM            63607P208          9,600       3,000       X     28-5284      3000
   COLUMN TOTAL                                             20,893,143







                                                                                                                  FILE NO. 28-1235
PAGE 151 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
NATIONAL FUEL GAS CO N J       COM            636180101        336,787      10,981       X     28-5284      9959              1022
                                                               187,087       6,100       X   X 28-5284      6100
NATIONAL GRID PLC              SPON ADR NEW   636274300         16,422         425       X     28-5284       425
                                                                   618          16       X   X 28-5284        16
                                                                12,751         330       X     28-4580       330
NATIONAL HEALTH INVS INC       COM            63633D104          8,061         300       X     28-5284       300
                                                                16,122         600       X   X 28-5284       600
NATIONAL INSTRS CORP           COM            636518102        289,616      15,529       X     28-5284      6170              9359
                                                               298,400      16,000       X   X 28-5284      2600             13400
NATIONAL OILWELL VARCO INC     COM            637071101      1,722,428      59,994       X     28-5284     54554              5440
                                                             1,058,078      36,854       X   X 28-5284     31754              5100
                                                             1,389,019      48,381       X     28-12474    46979              1402
                                                               213,086       7,422       X   X 28-12474     7422
                                                                 2,498          87       X     28-11135       87
                                                                20,872         727       X     28-4580       727
                                                                57,420       2,000       X   X 28-4580      2000
NATIONAL PENN BANCSHARES INC   COM            637138108         79,506       9,579       X     28-5284      9579
                                                                71,695       8,638       X   X 28-5284      4295              4343
NATIONAL PRESTO INDS INC       COM            637215104          2,440          40       X     28-5284                          40
NATIONAL RETAIL PROPERTIES I   COM            637417106         44,352       2,800       X     28-5284      1600              1200
                                                                23,760       1,500       X   X 28-5284      1500
                                                               327,571      20,680       X   X 28-12474    20680
NATIONAL SEMICONDUCTOR CORP    COM            637640103          4,396         428       X     28-5284       428
                                                                63,746       6,207       X   X 28-5284       207              6000
NATIONWIDE HEALTH PPTYS INC    COM            638620104         33,152       1,494       X     28-5284      1414                80
                                                               209,895       9,459       X   X 28-5284      3009              6450
                                                               431,374      19,440       X     28-12474    19440
                                                                10,873         490       X   X 28-12474      490
NATIONWIDE HEALTH PPTYS INC    PFD CV B 7.75% 638620302      5,956,080      60,000       X     28-11439    60000
NATURAL GAS SERVICES GROUP     COM            63886Q109          1,800         200       X     28-5284                         200
NAVIGATORS GROUP INC           COM            638904102            377           8       X   X 28-5284         8
                                                               309,642       6,563       X     28-11135     6563
   COLUMN TOTAL                                             13,199,924







                                                                                                                  FILE NO. 28-1235
PAGE 152 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
NATURAL RESOURCE PARTNERS L    COM UNIT L P   63900P103         82,621       3,700       X     28-5284      3700
                                                               402,967      18,046       X   X 28-5284     13046      5000
NATUS MEDICAL INC DEL          COM            639050103          4,255         500       X   X 28-5284       500
NAVISTAR INTL CORP NEW         COM            63934E108          5,019         150       X     28-5284       150
                                                                50,190       1,500       X   X 28-5284                        1500
NAVIGANT CONSULTING INC        COM            63935N107         43,131       3,300       X   X 28-5284      3300
NEENAH PAPER INC               COM            640079109            468         129       X     28-5284       129
                                                                   635         175       X   X 28-5284       175
NESS TECHNOLOGIES INC          COM            64104X108         11,505       3,900       X     28-5284      3500               400
                                                                 8,260       2,800       X   X 28-5284      2800
NET SERVICOS DE COMUNICACAO    SPONSD ADR NEW 64109T201            725         100       X     28-5284       100
NETAPP INC                     COM            64110D104         15,879       1,070       X     28-5284      1070
                                                               171,550      11,560       X   X 28-5284     11560
                                                                 4,749         320       X   X 28-4580       320
NETFLIX INC                    COM            64110L106         12,876         300       X     28-5284       300
                                                                80,475       1,875       X   X 28-5284      1875
                                                                25,709         599       X     28-11135      599
NETEASE COM INC                SPONSORED ADR  64110W102        209,699       7,810       X   X 28-5284      7810
NETEZZA CORP                   COM            64111N101          1,091         160       X     28-5284       160
NETSCOUT SYS INC               COM            64115T104          1,403         196       X   X 28-5284       196
NETLIST INC                    COM            64118P109         30,073     158,277       X   X 28-5284              158277
NETWORK EQUIP TECHNOLOGIES     COM            641208103            673         190       X     28-5284                         190
NEUBERGER BERMAN INTER MUNI    COM            64124P101          6,015         500       X     28-5284       500
NEUROMETRIX INC                COM            641255104          5,618       3,648       X     28-5284      3648
NEUBERGER BERMAN INCOME OPP    COM SHS        64126L108          3,160       1,000       X     28-5284      1000
                                                                19,908       6,300       X   X 28-5284      6300
   COLUMN TOTAL                                              1,198,654







                                                                                                                  FILE NO. 28-1235
PAGE 153 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
NEUSTAR INC                    CL A           64126X201         54,438       3,250       X   X 28-5284      3250
NEUTRAL TANDEM INC             COM            64128B108      6,938,248     281,928       X     28-5284    281928
                                                               254,714      10,350       X   X 28-5284     10350
NEUBERGER BERMAN HGH YLD FD    COM            64128C106         45,991       6,675       X   X 28-5284      1675              5000
NEW AMER HIGH INCOME FD INC    COM NEW        641876800         15,958       3,160       X   X 28-5284                        3160
NEUBERGER BERMAN RE ES SEC F   COM            64190A103         11,284       9,027       X     28-5284      9027
NEW FRONTIER MEDIA INC         COM            644398109          1,980       1,200       X     28-5284      1200
                                                               144,870      87,800       X   X 28-5284               87800
NEW GERMANY FD INC             COM            644465106         20,157       3,150       X   X 28-5284                3150
NEW JERSEY RES                 COM            646025106        437,560      12,877       X     28-5284     12532               345
                                                               673,586      19,823       X   X 28-5284      8298             11525
NEW YORK CMNTY BANCORP INC     COM            649445103        885,133      79,242       X     28-5284     79041               201
                                                               503,052      45,036       X   X 28-5284     43486              1550
                                                                 1,106          99       X     28-11135       99
                                                                 2,793         250       X     28-4580       250
NEW YORK TIMES CO              CL A           650111107          5,989       1,325       X     28-5284                        1325
                                                                 7,241       1,602       X   X 28-5284      1062               540
NEWCASTLE INVT CORP            COM            65105M108            293         450       X     28-5284       450
                                                                   650       1,000       X   X 28-5284                        1000
                                                                 4,492       6,910       X   X 28-12474     6910
NEWELL RUBBERMAID INC          COM            651229106        546,626      85,678       X     28-5284     83033              2645
                                                             2,400,679     376,282       X   X 28-5284     54262            322020
                                                                   963         151       X     28-11135      151
NEWFIELD EXPL CO               COM            651290108        197,490       8,700       X     28-5284      3300              5400
                                                               293,647      12,936       X   X 28-5284      6036              6900
NEWMONT MINING CORP            COM            651639106      1,918,861      42,870       X     28-5284     38986              3884
                                                             5,134,778     114,718       X   X 28-5284    112414       575    1729
                                                                11,190         250       X     28-4580       250
                                                               181,278       4,050       X   X 28-4580      4050
   COLUMN TOTAL                                             20,695,047







                                                                                                                  FILE NO. 28-1235
PAGE 154 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
NEWPORT CORP                   COM            651824104          2,069         468       X     28-5284       468
NEWS CORP                      CL A           65248E104      1,645,871     248,621       X     28-5284    178466             70155
                                                               866,253     130,854       X   X 28-5284     84910      2100   43844
                                                               392,467      59,285       X     28-12474    51365              7920
                                                                10,148       1,533       X   X 28-12474     1533
                                                                   563          85       X     28-11135       85
                                                                10,837       1,637       X     28-4580      1637
                                                                 7,282       1,100       X   X 28-4580      1100
NEWS CORP                      CL B           65248E203        405,020      52,600       X     28-5284     52600
                                                               183,337      23,810       X   X 28-5284     23410               400
                                                                14,029       1,822       X     28-12474     1822
NEXEN INC                      COM            65334H102          1,323          78       X   X 28-5284        78
NFJ DIVID INT & PREM STRTGY    COM SHS        65337H109          7,040         704       X     28-5284       704
                                                                 5,000         500       X   X 28-5284       500
NICHOLAS-APPLGT INTL & PRM S   COM            65370C108          3,327         343       X     28-5284       343
NICHOLAS-APPLEGATE CV & INC    COM            65370F101        154,904      33,529       X     28-5284      1929             31600
NICHOLAS APPLEGATE CV&INC FD   COM            65370G109          6,013       1,449       X     28-5284      1449
NICHOLAS APPLEGATE EQT CONV    COM            65370K100         20,563       1,904       X     28-5284      1904
NICOR INC                      COM            654086107         75,100       2,260       X     28-5284      1700               560
                                                               146,212       4,400       X   X 28-5284      2900              1500
NIDEC CORP                     SPONSORED ADR  654090109          5,885         524       X     28-5284       524
NIKE INC                       CL B           654106103     31,371,708     669,049       X     28-5284    635491       410   33148
                                                            17,709,978     377,692       X   X 28-5284    343422      3792   30478
                                                            12,065,735     257,320       X     28-12474   238900             18420
                                                             3,256,042      69,440       X   X 28-12474    61687      1597    6156
                                                               783,954      16,719       X     28-11135    16719
                                                               782,547      16,689       X     28-4580     16389               300
                                                               297,423       6,343       X   X 28-4580      6343
   COLUMN TOTAL                                             70,230,630







                                                                                                                  FILE NO. 28-1235
PAGE 155 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
NIPPON TELEG & TEL CORP        SPONSORED ADR  654624105         32,446       1,705       X     28-5284      1705
                                                                25,824       1,357       X   X 28-5284      1357
                                                               286,573      15,059       X     28-11135    15059
NISOURCE INC                   COM            65473P105         54,321       5,543       X     28-5284      1843              3700
                                                                71,119       7,257       X   X 28-5284      7257
                                                                 1,676         171       X     28-11135      171
NISSAN MOTORS                  SPONSORED ADR  654744408         12,477       1,721       X     28-5284      1721
                                                                 6,699         924       X   X 28-5284       924
NOKIA CORP                     SPONSORED ADR  654902204      4,167,870     357,144       X     28-5284    351581              5563
                                                             4,083,275     349,895       X   X 28-5284    309970      1025   38900
                                                                39,678       3,400       X     28-12474     3400
                                                               117,389      10,059       X     28-11135    10059
                                                                29,759       2,550       X     28-4580      2550
                                                                10,503         900       X   X 28-4580       900
NOBLE ENERGY INC               COM            655044105        726,464      13,483       X     28-5284      4143              9340
                                                               280,176       5,200       X   X 28-5284      2700              2500
                                                                16,811         312       X     28-11135      312
NOMURA HLDGS INC               SPONSORED ADR  65535H208          1,086         216       X     28-5284       216
                                                                   116          23       X   X 28-5284        23
                                                                   352          70       X     28-11135       70
NORAM ENERGY CORP              SDCV  6.000% 3 655419AC3        832,350       8,950       X     28-5284      8950
                                                             1,501,950      16,150       X   X 28-5284     16150
NORDSON CORP                   COM            655663102          1,365          48       X     28-5284        48
NORDSTROM INC                  COM            655664100      1,018,785      60,823       X     28-5284     58923              1900
                                                               905,656      54,069       X   X 28-5284     50869              3200
                                                               169,979      10,148       X     28-11135    10148
                                                                 3,350         200       X   X 28-4580       200
NORFOLK SOUTHERN CORP          COM            655844108     15,218,145     450,908       X     28-5284    414952       310   35646
                                                            19,030,950     563,880       X   X 28-5284    471987       940   90953
                                                               139,118       4,122       X     28-12474     3782               340
                                                                53,224       1,577       X   X 28-12474     1483                94
                                                               140,063       4,150       X     28-11135     4150
                                                               272,363       8,070       X     28-4580      7940               130
                                                                71,786       2,127       X   X 28-4580      2127
   COLUMN TOTAL                                             49,323,698







                                                                                                                  FILE NO. 28-1235
PAGE 156 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
NORTH AMERN GALVANZNG & CTNG   COM            65686Y109      1,590,649     526,705       X     28-5284                      526705
NORTH EUROPEAN OIL RTY TR      SH BEN INT     659310106        274,964      10,600       X     28-5284     10600
                                                                62,256       2,400       X   X 28-5284      2400
NORTHEAST UTILS                COM            664397106          5,398         250       X   X 28-5284       250
NORTHERN TR CORP               COM            665859104     31,031,206     518,743       X     28-5284    485409       330   33004
                                                            12,875,956     215,245       X   X 28-5284    194210      3380   17655
                                                            16,339,833     273,150       X     28-12474   254389             18761
                                                             3,958,529      66,174       X   X 28-12474    58794      1364    6016
                                                                 8,973         150       X     28-11135      150
                                                               703,603      11,762       X     28-4580     11522               240
                                                               274,095       4,582       X   X 28-4580      4582
NORTHFIELD LABS INC            COM            666135108            230         500       X     28-5284       500
NORTHRIM BANCORP INC           COM            666762109      1,836,853     186,199       X     28-1500    186199
NORTHROP GRUMMAN CORP          COM            666807102     10,042,131     230,113       X     28-5284    212968       250   16895
                                                             6,428,608     147,310       X   X 28-5284    137690      1145    8475
                                                             8,046,561     184,385       X     28-12474   170748             13637
                                                             1,945,777      44,587       X   X 28-12474    39817       901    3869
                                                               150,078       3,439       X     28-11135     3439
                                                               304,302       6,973       X     28-4580      6833               140
                                                                79,425       1,820       X   X 28-4580      1820
NORTHSTAR RLTY FIN CORP        COM            66704R100            726         313       X     28-5284       313
                                                                 9,572       4,126       X   X 28-5284      4126
                                                                53,130      22,901       X   X 28-12474    22901
NORTHWEST BANCORP INC PA       COM            667328108          8,923         528       X     28-5284       528
                                                                20,703       1,225       X   X 28-5284      1225
NORTHWEST NAT GAS CO           COM            667655104         61,222       1,410       X     28-5284      1200               210
                                                               130,260       3,000       X   X 28-5284      3000
                                                                   868          20       X     28-11135       20
NORTHWEST PIPE CO              COM            667746101            712          25       X     28-5284        25
NORTHWESTERN CORP              COM NEW        668074305         16,110         750       X   X 28-5284       750
                                                                37,332       1,738       X     28-11135     1738
   COLUMN TOTAL                                             96,298,985







                                                                                                                  FILE NO. 28-1235
PAGE 157 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
NORWOOD FINANCIAL CORP         COM            669549107        111,281       4,531       X     28-5284      4531
                                                                 6,435         262       X   X 28-5284       262
NOVA CHEMICALS CORP            COM            66977W109         56,068       9,734       X     28-5284      9734
NOVARTIS A G                   SPONSORED ADR  66987V109      2,723,193      71,985       X     28-5284     70950              1035
                                                             2,703,559      71,466       X   X 28-5284     49566             21900
                                                               347,733       9,192       X     28-12474     7092              2100
                                                                15,321         405       X   X 28-12474      405
                                                                88,371       2,336       X     28-11135     2336
                                                                15,132         400       X     28-4580       400
NU HORIZONS ELECTRS CORP       COM            669908105          2,000       1,000       X     28-5284      1000
NOVELL INC                     COM            670006105          1,512         355       X     28-5284       355
NOVELLUS SYS INC               COM            670008101         39,912       2,400       X   X 28-5284      2400
NOVEN PHARMACEUTICALS INC      COM            670009109          1,896         200       X     28-5284                         200
NOVO-NORDISK A S               ADR            670100205        753,766      15,710       X     28-5284     15710
                                                             2,176,277      45,358       X   X 28-5284     45358
                                                                 1,487          31       X     28-4580        31
NSTAR                          COM            67019E107        822,153      25,789       X     28-5284     23004              2785
                                                               161,632       5,070       X   X 28-5284      4970               100
                                                             3,757,026     117,849       X     28-12474   112215              5634
                                                               654,720      20,537       X   X 28-12474    19704               833
                                                                23,910         750       X     28-4580       750
NTELOS HLDGS CORP              COM            67020Q107         14,022         773       X     28-11135      773
NUANCE COMMUNICATIONS INC      COM            67020Y100        208,778      19,260       X     28-5284     18840               420
                                                               509,176      46,972       X   X 28-5284     27275             19697
                                                                74,406       6,864       X     28-11135     6864
NUCOR CORP                     COM            670346105      1,015,780      26,612       X     28-5284     25512              1100
                                                             1,117,541      29,278       X   X 28-5284     29078               200
                                                                37,445         981       X     28-11135      981
NUMEREX CORP PA                CL A           67053A102      1,031,332     289,700       X   X 28-5284    289700
   COLUMN TOTAL                                             18,471,864







                                                                                                                  FILE NO. 28-1235
PAGE 158 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
NUSTAR ENERGY LP               UNIT COM       67058H102        122,007       2,646       X     28-5284      2646
                                                               305,433       6,624       X   X 28-5284      5124              1500
NUSTAR GP HOLDINGS LLC         UNIT RESTG LLC 67059L102         10,305         500       X     28-5284       500
NUVEEN INSD PREM INCOME MUN    COM            6706D8104         23,598       2,256       X     28-5284      2256
                                                                20,920       2,000       X   X 28-5284      2000
NUVEEN EQTY PRM OPPORTUNITYF   COM            6706EM102         30,450       3,000       X   X 28-5284      3000
NUVEEN FLTNG RTE INCM OPP FD   COM SHS        6706EN100         15,810       3,000       X     28-5284      3000
NUVEEN EQUITY PREM ADV FD      COM            6706ET107         49,400       5,000       X   X 28-5284                        5000
NUVEEN PA PREM INCOME MUN FD   COM            67061F101        221,059      21,887       X     28-5284     21887
                                                               187,284      18,543       X   X 28-5284     16886              1657
NUVEEN MD PREM INCOME MUN FD   COM            67061Q107         34,063       2,988       X   X 28-5284      2988
NUVEEN SELECT MAT MUN FD       SH BEN INT     67061T101         22,954       2,300       X   X 28-5284      2300
NUVEEN ARIZ PREM INCOME MUN    COM            67061W104         48,951       4,442       X   X 28-5284      4442
NUVEEN INVT QUALITY MUN FD I   COM            67062E103         21,204       1,800       X     28-5284      1800
                                                                45,412       3,855       X   X 28-5284      3855
NUVEEN SELECT TAX FREE INCM    SH BEN INT     67062F100         12,303         900       X     28-5284       900
                                                                43,061       3,150       X   X 28-5284      3150
NUVEEN MUN ADVANTAGE FD INC    COM            67062H106         94,320       8,000       X     28-5284      8000
                                                                 3,537         300       X   X 28-5284       300
NUVEEN MUN INCOME FD INC       COM            67062J102         77,628       7,970       X   X 28-5284      7970
NUVEEN INSD QUALITY MUN FD I   COM            67062N103         88,737       7,358       X     28-5284      7358
NUVEEN PERFORMANCE PLUS MUN    COM            67062P108         11,780       1,000       X     28-5284      1000
                                                               105,089       8,921       X   X 28-5284      8921
NUVEEN PREM INCOME MUN FD      COM            67062T100         28,906       2,529       X     28-5284      2529
                                                                17,145       1,500       X   X 28-5284      1500
NUVEEN MUN MKT OPPORTUNITY F   COM            67062W103         66,080       5,900       X     28-5284      5900
   COLUMN TOTAL                                              1,707,436







                                                                                                                  FILE NO. 28-1235
PAGE 159 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
NUVEEN SELECT TAX FREE INCM    SH BEN INT     67063C106        111,724       8,500       X   X 28-5284      8500
NUVEEN PREM INCOME MUN FD 2    COM            67063W102         38,063       3,270       X   X 28-5284      3270
NUVEEN SELECT TAX FREE INCM    SH BEN INT     67063X100         13,574       1,000       X   X 28-5284      1000
NUVEEN TAX FREE ADV MUN FD     COM            670657105        172,424      14,453       X   X 28-5284     14453
NVIDIA CORP                    COM            67066G104        349,872      35,484       X     28-5284     33954              1530
                                                               567,640      57,570       X   X 28-5284     56920               650
                                                                   601          61       X     28-12474       61
                                                                   493          50       X     28-4580        50
NUVEEN DIVID ADVANTAGE MUN F   COM            67066V101          3,312         300       X     28-5284       300
                                                                22,080       2,000       X   X 28-5284      2000
NUVEEN SR INCOME FD            COM            67067Y104          9,630       3,000       X   X 28-5284                        3000
NUVEEN MUN HIGH INC OPP FD     COM            670682103         31,620       3,100       X     28-5284      3100
                                                               110,160      10,800       X   X 28-5284      6600              4200
NUVEEN MUN HIGH INC OPPTY FD   COM            670683101         21,873       2,300       X   X 28-5284                        2300
NUTRI SYS INC NEW              COM            67069D108          4,995         350       X     28-5284       350
                                                                 1,270          89       X   X 28-5284        89
NUVEEN PA DIV ADVANTAGE MUN    COM            67070E103         41,170       3,895       X     28-5284      3895
                                                                13,847       1,310       X   X 28-5284      1310
NUVEEN MD DIV ADV MUNI FD 2    COM SH BEN INT 67070V105         60,550       5,000       X   X 28-5284                        5000
NUVEEN DIV ADV MUNI FD 3       COM SH BEN INT 67070X101          5,600         500       X     28-5284       500
                                                                 5,600         500       X   X 28-5284       500
NUVASIVE INC                   COM            670704105          3,138         100       X     28-5284       100
NUVEEN REAL ESTATE INCOME FD   COM            67071B108         20,463       5,700       X     28-5284      5700
NUVEEN INSD DIVID ADVANTAGE    COM            67071L106         43,033       3,510       X   X 28-5284      3510
NUVEEN QUALITY PFD INCOME FD   COM            67071S101          3,810       1,000       X     28-5284      1000
                                                                23,965       6,290       X   X 28-5284      6290
   COLUMN TOTAL                                              1,680,507







                                                                                                                  FILE NO. 28-1235
PAGE 160 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
NUVEEN NEW JERSEY DIVID        COM            67071T109         36,267       3,300       X     28-5284      3300
NUVEEN OHIO DIVID ADVANTAGE    COM            67071V104         49,600       4,000       X   X 28-5284      4000
NUVEEN PA DIVID ADVANTAGE MU   COM            67071W102         23,100       2,000       X   X 28-5284                        2000
NUVEEN QUALITY PFD INCOME FD   COM            67072C105          4,740       1,185       X     28-5284      1185
                                                                 5,416       1,354       X   X 28-5284      1354
NUVEEN QUALITY PFD INC FD 3    COM            67072W101          3,760       1,000       X     28-5284      1000
NUVEEN MULTI STRAT INC & GR    COM            67073B106          6,160       1,697       X     28-5284      1697
                                                                11,442       3,152       X     28-4580      3152
NUVEEN MULTI STRAT INC GR FD   COM SHS        67073D102          6,173       1,616       X     28-5284      1616
                                                                15,280       4,000       X   X 28-5284      4000
                                                                 4,748       1,243       X     28-4580      1243
NV ENERGY INC                  COM            67073Y106         22,067       2,350       X     28-5284      2350
O CHARLEYS INC                 COM            670823103            512         170       X     28-5284                         170
OGE ENERGY CORP                COM            670837103        130,534       5,480       X     28-5284      5480
                                                               163,739       6,874       X   X 28-5284      6874
OM GROUP INC                   COM            670872100         18,161         940       X     28-5284       680               260
NUVEEN TX ADV TOTAL RET STRG   COM            67090H102         14,674       2,300       X     28-5284      2300
NUVEEN MULT CURR ST GV INCM    COM            67090N109          9,115         724       X     28-5284       724
NUVEEN CORE EQUITY ALPHA FUN   COM            67090X107          9,472       1,133       X     28-5284      1133
NUVEEN MUN VALUE FD INC        COM            670928100      2,193,074     246,690       X     28-5284    246690
                                                               285,378      32,101       X   X 28-5284     32101
NUVEEN FLA INVT QUALITY MUN    COM            670970102         21,400       2,000       X   X 28-5284      2000
NUVEEN NJ INVT QUALITY MUN F   COM            670971100         57,456       5,320       X     28-5284      5320
                                                                10,800       1,000       X   X 28-5284      1000
NUVEEN PA INVT QUALITY MUN F   COM            670972108        284,615      25,526       X     28-5284     25526
                                                               263,854      23,664       X   X 28-5284     20693              2971
   COLUMN TOTAL                                              3,651,537







                                                                                                                  FILE NO. 28-1235
PAGE 161 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
NUVEEN QUALITY INCOME MUN FD   COM            670977107        171,438      14,443       X     28-5284     14443
                                                                74,389       6,267       X   X 28-5284      6267
NUVEEN INSD MUN OPPORTUNITY    COM            670984103         23,300       2,000       X     28-5284      2000
NUVEEN PREMIER MUN INCOME FD   COM            670988104         11,120       1,000       X     28-5284      1000
NUVEEN NJ PREM INCOME MUN FD   COM            67101N106        164,170      14,338       X     28-5284     14338
OSI PHARMACEUTICALS INC        COM            671040103          3,826         100       X     28-5284       100
                                                                60,910       1,592       X   X 28-5284      1592
                                                                41,091       1,074       X     28-11135     1074
OYO GEOSPACE CORP              COM            671074102            588          45       X     28-5284        45
                                                                37,221       2,850       X   X 28-5284      2850
OBAGI MEDICAL PRODUCTS INC     COM            67423R108         26,900       5,000       X   X 28-5284      5000
OCCIDENTAL PETE CORP DEL       COM            674599105     16,355,479     293,899       X     28-5284    276186       290   17423
                                                             5,978,925     107,438       X   X 28-5284     94788      4065    8585
                                                            13,047,755     234,461       X     28-12474   218379             16082
                                                             3,302,494      59,344       X   X 28-12474    52511      1386    5447
                                                               448,483       8,059       X     28-11135     8059
                                                               671,195      12,061       X     28-4580     11861               200
                                                               167,785       3,015       X   X 28-4580      3015
OCEAN PWR TECHNOLOGIES INC     COM NEW        674870308         26,240       4,000       X     28-5284      4000
OCEANEERING INTL INC           COM            675232102         39,635       1,075       X     28-5284        25              1050
                                                               416,631      11,300       X   X 28-5284     10900               400
                                                                 4,830         131       X     28-11135      131
OCEANFIRST FINL CORP           COM            675234108         41,146       4,026       X   X 28-5284      4026
OCWEN FINL CORP                NOTE  3.250% 8 675746AD3      1,779,092       1,730       X     28-11439     1730
OCWEN FINL CORP                COM NEW        675746309        446,616      39,074       X     28-11135    39074
ODYSSEY HEALTHCARE INC         COM            67611V101         88,270       9,100       X     28-5284                        9100
OFFICEMAX INC DEL              COM            67622P101            312         100       X     28-4580       100
OFFICE DEPOT INC               COM            676220106            359         274       X     28-5284       274
   COLUMN TOTAL                                             43,430,200







                                                                                                                  FILE NO. 28-1235
PAGE 162 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                                ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:        CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS    NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
-----------------------------------------------------------------------------------------------------------------------------------
                                                                                           
OIL SVC HOLDRS TR              DEPOSTRY RCPT   678002106         59,368         800       X     28-5284       800
                                                                 83,560       1,126       X   X 28-5284       600               526
OIL STS INTL INC               COM             678026105            738          55       X   X 28-5284        55
OLD LINE BANCSHARES INC        COM             67984M100        177,000      30,000       X   X 28-5284     30000
OLD NATL BANCORP IND           COM             680033107          2,793         250       X     28-5284       250
OLD REP INTL CORP              COM             680223104        156,089      14,426       X     28-5284     14426
                                                              1,775,292     164,075       X   X 28-5284    162475              1600
OLIN CORP                      COM PAR $1      680665205            243          17       X     28-5284        17
                                                                171,925      12,048       X   X 28-5284     12048
OMNICARE INC                   COM             681904108        237,088       9,681       X     28-5284      9246               435
                                                                 91,838       3,750       X   X 28-5284      1675      1100     975
                                                                285,260      11,648       X     28-12474     9648              2000
                                                                  9,306         380       X   X 28-12474      380
OMNICOM GROUP INC              COM             681919106      4,114,703     175,842       X     28-5284    172317              3525
                                                              5,073,658     216,823       X   X 28-5284    201819      2850   12154
                                                                    398          17       X   X 28-12474       17
                                                                 61,846       2,643       X     28-4580      2643
                                                                 15,444         660       X   X 28-4580       660
OMEGA HEALTHCARE INVS INC      COM             681936100         15,488       1,100       X     28-5284      1100
                                                                763,910      54,255       X     28-12474    54255
                                                                 19,290       1,370       X   X 28-12474     1370
OMEGA FLEX INC                 COM             682095104          2,417         150       X   X 28-5284       150
OMNITURE INC                   COM             68212S109          6,595         500       X     28-5284       500
OMNICELL INC                   COM             68213N109         11,730       1,500       X   X 28-5284      1500
OMNICARE CAP TR II             PFD B TR 4.00%  68214Q200      3,432,588     100,000       X     28-11439   100000
ON ASSIGNMENT INC              COM             682159108            678         250       X     28-5284                         250
ON SEMICONDUCTOR CORP          NOTE          4 682189AE5         92,875       1,000       X     28-5284      1000
   COLUMN TOTAL                                             16,662,120







                                                                                                                  FILE NO. 28-1235
PAGE 163 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
ON SEMICONDUCTOR CORP          COM            682189105          1,872         480       X     28-5284                         480
                                                                13,241       3,395       X   X 28-5284      3395
ONEOK PARTNERS LP              UNIT LTD PARTN 68268N103        174,795       4,300       X     28-5284      4300
                                                               191,055       4,700       X   X 28-5284      4700
ONEOK INC NEW                  COM            682680103        158,976       7,025       X     28-5284      3720              3305
                                                               205,910       9,099       X   X 28-5284      9099
ONLINE RES CORP                COM            68273G101          1,924         457       X     28-5284       457
ONSTREAM MEDIA CORP            COM            682875109            608       2,172       X     28-5284      2172
ONVIA INC                      COM NEW        68338T403         16,766       4,389       X   X 28-5284                4389
ONYX PHARMACEUTICALS INC       COM            683399109          3,283         115       X     28-5284       115
                                                                14,275         500       X   X 28-5284       500
                                                                69,177       2,423       X     28-11135     2423
OPEN JT STK CO-VIMPEL COMMUN   SPONSORED ADR  68370R109         34,335       5,250       X     28-5284      5250
OPEN TEXT CORP                 COM            683715106        212,150       6,160       X   X 28-5284      6160
OPKO HEALTH INC                COM            68375N103          5,880       6,000       X   X 28-5284      6000
OPLINK COMMUNICATIONS INC      COM NEW        68375Q403         31,940       4,148       X   X 28-5284                4148
OPPENHEIMER HLDGS INC          CL A NON VTG   683797104          6,986         700       X     28-5284       700
OPTICAL CABLE CORP             COM NEW        683827208         86,939      36,376       X   X 28-5284               36376
ORACLE CORP                    COM            68389X105     53,754,202   2,974,776       X     28-5284   2811199            163577
                                                            28,954,627   1,602,359       X   X 28-5284   1439587     68360   94412
                                                            20,003,165   1,106,982       X     28-12474  1028558             78424
                                                             5,396,931     298,668       X   X 28-12474   264641      7074   26953
                                                             1,396,937      77,307       X     28-11135    77307
                                                             1,172,454      64,884       X     28-4580     63804              1080
                                                               621,644      34,402       X   X 28-4580     34402
OPTIONSXPRESS HLDGS INC        COM            684010101          2,280         200       X     28-5284       200
                                                                 7,980         700       X   X 28-5284       700
ORBITAL SCIENCES CORP          NOTE  2.438% 1 685564AN6        160,000       2,000       X     28-4580      2000
   COLUMN TOTAL                                            112,700,332







                                                                                                                  FILE NO. 28-1235
PAGE 164 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
ORBITAL SCIENCES CORP          COM            685564106          3,567         300       X     28-5284       300
                                                                 5,041         424       X   X 28-5284       424
O REILLY AUTOMOTIVE INC        COM            686091109         79,998       2,285       X     28-5284      2285
                                                                 3,501         100       X   X 28-5284       100
                                                               313,830       8,964       X     28-11135     8964
ORITANI FINL CORP              COM            686323106         28,000       2,000       X     28-5284      2000
ORIX CORP                      SPONSORED ADR  686330101          3,508         213       X     28-5284       213
                                                                    66           4       X   X 28-5284         4
                                                                33,072       2,008       X     28-11135     2008
ORTHOLOGIC CORP                COM            68750J107        178,957     325,377       X   X 28-5284              325377
OSCIENT PHARMACEUTICALS CORP   COM NEW        68812R303            242       2,018       X     28-5284      2018
OSHKOSH CORP                   COM            688239201         82,740      12,276       X     28-5284     12276
                                                               175,240      26,000       X   X 28-5284                       26000
                                                               203,609      30,209       X     28-12474    25689              4520
                                                                 5,729         850       X   X 28-12474      850
                                                                   701         104       X     28-11135      104
OSTEOTECH INC                  COM            688582105            454         130       X     28-5284                         130
OVERSEAS SHIPHOLDING GROUP I   COM            690368105         12,695         560       X   X 28-5284       560
OWENS & MINOR INC NEW          COM            690732102         11,264         340       X     28-5284                         340
                                                               118,142       3,566       X   X 28-5284      3566
                                                                35,151       1,061       X     28-11135     1061
OWENS ILL INC                  COM NEW        690768403        382,068      26,459       X     28-5284     25171              1288
                                                               502,368      34,790       X   X 28-5284     33640       200     950
                                                                17,588       1,218       X     28-4580      1218
                                                                 4,693         325       X   X 28-4580       325
OXFORD INDS INC                COM            691497309            802         130       X     28-5284                         130
                                                                14,191       2,300       X   X 28-5284      2300
OXIGENE INC                    COM            691828107          1,360       2,000       X     28-5284      2000
   COLUMN TOTAL                                              2,218,577







                                                                                                                  FILE NO. 28-1235
PAGE 165 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
PCM FUND INC                   COM            69323T101         75,032      14,300       X   X 28-5284                       14300
PC-TEL INC                     COM            69325Q105            602         140       X     28-5284                         140
PDL BIOPHARMA INC              COM            69329Y104            439          62       X     28-11135       62
PG&E CORP                      COM            69331C108        134,190       3,511       X     28-5284      2211              1300
                                                               184,412       4,825       X   X 28-5284      4825
                                                                 2,293          60       X     28-4580        60
PHC INC MASS                   CL A           693315103          2,625       3,500       X   X 28-5284      3500
PHH CORP                       COM NEW        693320202          3,498         249       X   X 28-5284       249
                                                                    70           5       X     28-11135        5
P F CHANGS CHINA BISTRO INC    COM            69333Y108          4,805         210       X     28-5284                         210
                                                                83,512       3,650       X   X 28-5284      3650
PGT INC                        COM            69336V101          1,390       1,000       X     28-5284      1000
PICO HLDGS INC                 COM NEW        693366205          4,150         138       X     28-5284                         138
                                                               150,350       5,000       X   X 28-5284      5000
PMC COML TR                    SH BEN INT     693434102          5,661       1,020       X   X 28-5284      1020
PMC-SIERRA INC                 COM            69344F106            637         100       X     28-5284       100
                                                                 6,370       1,000       X   X 28-5284      1000
                                                                   433          68       X     28-11135       68
PMI GROUP INC                  COM            69344M101         76,491     123,373       X   X 28-5284    123373
PNC FINL SVCS GROUP INC        COM            693475105     49,018,953   1,673,573       X     28-5284   1624883      4035   44655
                                                            51,197,748   1,747,960       X   X 28-5284   1402592     45063  300305
                                                                 3,837         131       X     28-11135      131
                                                             2,338,982      79,856       X     28-4580     77081              2775
                                                             2,972,701     101,492       X   X 28-4580     98267              3225
PNC FINL SVCS GROUP INC        PFD A CV $1.80 693475204          5,805          27       X   X 28-5284        27
PNC FINL SVCS GROUP INC        PFD CV D $1.80 693475501         50,294       1,014       X     28-5284      1014
                                                                 1,240          25       X   X 28-5284        25
   COLUMN TOTAL                                            106,326,520







                                                                                                                  FILE NO. 28-1235
PAGE 166 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
POSCO                          SPONSORED ADR  693483109        268,924       4,024       X     28-5284        24              4000
                                                                80,463       1,204       X   X 28-5284      1204
PNM RES INC                    COM            69349H107          2,561         310       X     28-5284       300                10
                                                                33,040       4,000       X   X 28-5284      3000              1000
                                                                   966         117       X     28-4580       117
PPG INDS INC                   COM            693506107     15,199,811     411,919       X     28-5284    396028             15891
                                                            18,410,185     498,921       X   X 28-5284    478572      2100   18249
                                                               217,895       5,905       X     28-12474     5415               490
                                                                83,357       2,259       X   X 28-12474     2122               137
                                                                   443          12       X     28-11135       12
                                                                60,073       1,628       X     28-4580      1628
                                                               660,178      17,891       X   X 28-4580     17891
PPL CORP                       COM            69351T106     12,396,404     431,780       X     28-5284    421055      1240    9485
                                                            15,814,157     550,824       X   X 28-5284    531099       945   18780
                                                                 3,101         108       X     28-11135      108
                                                                14,183         494       X     28-4580       494
                                                                37,323       1,300       X   X 28-4580      1300
PSS WORLD MED INC              COM            69366A100        123,410       8,600       X   X 28-5284      8600
PACCAR INC                     COM            693718108         51,468       1,998       X     28-5284       918              1080
                                                                38,640       1,500       X   X 28-5284      1500
                                                                 2,241          87       X     28-11135       87
PACHOLDER HIGH YIELD FD INC    COM            693742108          5,219       1,345       X     28-5284      1345
PACIFIC ETHANOL INC            COM            69423U107              8          25       X     28-5284        25
                                                                     6          18       X     28-4580        18
PACIFIC SUNWEAR CALIF INC      COM            694873100        127,820      77,000       X     28-5284     77000
PACKAGING CORP AMER            COM            695156109          9,114         700       X     28-5284                         700
   COLUMN TOTAL                                             63,640,990







                                                                                                                  FILE NO. 28-1235
PAGE 167 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
PACTIV CORP                    COM            695257105         57,966       3,973       X     28-5284      3973
                                                                 8,112         556       X   X 28-5284       556
                                                                13,175         903       X     28-11135      903
                                                                 1,459         100       X     28-4580       100
PACWEST BANCORP DEL            COM            695263103         36,542       2,550       X   X 28-5284                        2550
PAIN THERAPEUTICS INC          COM            69562K100         11,130       2,650       X     28-5284      2650
PALL CORP                      COM            696429307         63,027       3,085       X     28-5284      1055              2030
                                                                21,329       1,044       X   X 28-5284      1044
                                                                22,596       1,106       X     28-11135     1106
PALM INC NEW                   COM            696643105         29,206       3,400       X     28-5284      3400
                                                                86,226      10,038       X   X 28-5284     10010                28
PALOMAR MED TECHNOLOGIES INC   COM NEW        697529303            806         111       X   X 28-5284       111
PAN AMERICAN SILVER CORP       COM            697900108         17,420       1,000       X   X 28-5284      1000
PANASONIC CORP                 ADR            69832A205         49,668       4,503       X     28-5284      4503
                                                                 5,691         516       X   X 28-5284       516
PANERA BREAD CO                CL A           69840W108        199,731       3,573       X     28-5284      2573              1000
                                                               395,772       7,080       X   X 28-5284      5335              1745
PAPA JOHNS INTL INC            COM            698813102         47,249       2,066       X     28-5284      2066
PARAGON SHIPPING INC           CL A           69913R309          2,443         700       X   X 28-5284       700
PARALLEL PETE CORP DEL         COM            699157103         29,440      23,000       X   X 28-5284     23000
PARAMETRIC TECHNOLOGY CORP     COM NEW        699173209            798          80       X     28-5284        80
PAREXEL INTL CORP              COM            699462107          4,476         460       X     28-5284                         460
                                                               168,368      17,304       X     28-11135    17304
PARK ELECTROCHEMICAL CORP      COM            700416209         12,321         713       X     28-5284       533               180
                                                                 1,382          80       X     28-11135       80
PARK NATL CORP                 COM            700658107         44,600         800       X     28-5284       800
   COLUMN TOTAL                                              1,330,933







                                                                                                                  FILE NO. 28-1235
PAGE 168 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
PARKE BANCORP INC              COM            700885106        150,458      21,494       X   X 28-5284     21494
PARKER DRILLING CO             COM            701081101          1,288         700       X   X 28-5284       700
PARKER HANNIFIN CORP           COM            701094104        184,104       5,418       X     28-5284      5198               220
                                                               633,183      18,634       X   X 28-5284     14834              3800
                                                                 7,510         221       X     28-11135      221
PARKVALE FINL CORP             COM            701492100         22,498       2,049       X   X 28-4580      2049
PARKWAY PPTYS INC              COM            70159Q104            371          36       X     28-11135       36
PARTICLE DRILLING TECHNOLOGI   COM            70212G101         16,300     100,000       X   X 28-5284              100000
PATRICK INDS INC               COM            703343103          1,054       2,150       X     28-5284      2150
PATRIOT COAL CORP              COM            70336T104          7,383       1,990       X     28-5284      1854               136
                                                                17,556       4,732       X   X 28-5284      4108               624
PATTERSON COMPANIES INC        COM            703395103        122,062       6,472       X     28-5284      6472
                                                               195,427      10,362       X   X 28-5284      2362              8000
                                                                10,656         565       X     28-11135      565
PATTERSON UTI ENERGY INC       COM            703481101         34,227       3,820       X     28-5284      2290              1530
                                                                17,158       1,915       X   X 28-5284      1915
                                                               167,238      18,665       X     28-12474    18665
PAULSON CAP CORP               COM            703797100            500         500       X     28-5284       500
PAYCHEX INC                    COM            704326107      6,267,305     244,149       X     28-5284    241449              2700
                                                             1,290,842      50,286       X   X 28-5284     37993             12293
                                                                27,031       1,053       X     28-11135     1053
                                                                21,563         840       X   X 28-4580       840
PEABODY ENERGY CORP            COM            704549104      1,020,380      40,750       X     28-5284     26690             14060
                                                             1,101,785      44,001       X   X 28-5284     30456      3520   10025
                                                                10,767         430       X     28-4580       430
                                                                12,520         500       X   X 28-4580       500
PEAPACK-GLADSTONE FINL CORP    COM            704699107         25,422       1,410       X   X 28-5284      1210               200
PECO II INC                    COM NEW        705221208        403,721     132,803       X   X 28-5284              132803
   COLUMN TOTAL                                             11,770,309







                                                                                                                  FILE NO. 28-1235
PAGE 169 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
PEERLESS SYS CORP              COM            705536100          9,050       5,000       X   X 28-5284                        5000
PENGROWTH ENERGY TR            TR UNIT NEW    706902509         29,066       5,209       X     28-5284      5209
                                                               173,438      31,082       X   X 28-5284     31082
PENFORD CORP                   COM            707051108            363         100       X     28-5284                         100
PENN NATL GAMING INC           COM            707569109         59,047       2,445       X     28-5284      2445
                                                                33,810       1,400       X   X 28-5284       400              1000
PENN VA CORP                   COM            707882106         16,470       1,500       X     28-5284      1500
PENN VA RESOURCES PARTNERS L   COM            707884102         20,520       1,800       X     28-5284      1800
                                                                18,240       1,600       X   X 28-5284      1600
PENN WEST ENERGY TR            TR UNIT        707885109         20,878       2,200       X     28-5284      2200
                                                               142,255      14,990       X   X 28-5284     14497               493
PENNEY J C INC                 COM            708160106        436,462      21,747       X     28-5284     20227              1520
                                                               323,207      16,104       X   X 28-5284     15904               200
                                                                 3,512         175       X     28-4580       175
                                                                 5,018         250       X   X 28-4580       250
PENNSYLVANIA RL ESTATE INVT    SH BEN INT     709102107         59,200      16,676       X     28-5284     16676
                                                                58,341      16,434       X   X 28-5284     13434              3000
                                                                74,657      21,030       X     28-12474    21030
                                                                 1,811         510       X   X 28-12474      510
PENTAIR INC                    COM            709631105         94,698       4,370       X     28-5284      4100               270
                                                               489,742      22,600       X   X 28-5284      6900             15700
PEOPLES UNITED FINANCIAL INC   COM            712704105        339,399      18,887       X     28-5284     15907              2980
                                                               181,425      10,096       X   X 28-5284       565              9531
                                                             2,398,797     133,489       X     28-12474   125318              8171
                                                               401,324      22,333       X   X 28-12474    20760              1573
                                                                   288          16       X     28-11135       16
PEP BOYS MANNY MOE & JACK      COM            713278109          1,499         340       X     28-5284                         340
   COLUMN TOTAL                                              5,392,517







                                                                                                                  FILE NO. 28-1235
PAGE 170 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
PEPCO HOLDINGS INC             COM            713291102        309,729      24,818       X     28-5284     22368              2450
                                                               644,130      51,613       X   X 28-5284     47450              4163
                                                                83,978       6,729       X     28-4580      6729
                                                                48,273       3,868       X   X 28-4580      3868
PEPSI BOTTLING GROUP INC       COM            713409100        120,641       5,449       X     28-5284      5449
                                                                    44           2       X   X 28-5284         2
                                                               102,065       4,610       X     28-12474     4610
                                                                 4,428         200       X     28-4580       200
PEPSIAMERICAS INC              COM            71343P200        296,131      17,167       X     28-5284     15892              1275
                                                                 7,435         431       X   X 28-5284       431
PEPSICO INC                    COM            713448108    109,174,460   2,120,716       X     28-5284   2028888       370   91458
                                                            83,860,096   1,628,984       X   X 28-5284   1467858     39882  121244
                                                            13,874,890     269,520       X     28-12474   249145             20375
                                                             3,737,705      72,605       X   X 28-12474    64221      1727    6657
                                                               353,513       6,867       X     28-11135     6867
                                                             1,987,694      38,611       X     28-4580     38341               270
                                                             2,388,981      46,406       X   X 28-4580     45650       756
PERICOM SEMICONDUCTOR CORP     COM            713831105          1,535         210       X     28-5284                         210
PERKINELMER INC                COM            714046109        142,398      11,151       X     28-5284     11151
                                                                86,198       6,750       X   X 28-5284      4450              2300
PERMIAN BASIN RTY TR           UNIT BEN INT   714236106          3,000         300       X     28-5284       300
                                                                54,240       5,424       X   X 28-5284      5424
PEROT SYS CORP                 CL A           714265105        183,398      14,239       X     28-11135    14239
PERRIGO CO                     COM            714290103            745          30       X     28-5284        30
                                                               179,049       7,211       X     28-11135     7211
P T TELEKOMUNIKASI INDONESIA   SPONSORED ADR  715684106          2,930         114       X     28-5284       114
                                                                   283          11       X   X 28-5284        11
PETRO-CDA                      COM            71644E102          4,412         166       X     28-5284       166
                                                               118,467       4,457       X   X 28-5284       457              4000
PETROCHINA CO LTD              SPONSORED  ADR 71646E100         45,429         570       X     28-5284       570
                                                               199,250       2,500       X   X 28-5284      2500
                                                                 5,978          75       X   X 28-4580        75
   COLUMN TOTAL                                            218,021,505







                                                                                                                  FILE NO. 28-1235
PAGE 171 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
PETROBRAS ENERGIA PARTCPTNS    SP ADR B SHS   71646M102          1,531         269       X   X 28-5284       269
PETROHAWK ENERGY CORP          COM            716495106         26,191       1,362       X     28-5284      1112               250
                                                                13,826         719       X   X 28-5284       719
PETROLEO BRASILEIRO SA PETRO   SP ADR NON VTG 71654V101            735          30       X   X 28-5284        30
PETROLEO BRASILEIRO SA PETRO   SPONSORED ADR  71654V408        142,569       4,679       X     28-5284      4229               450
                                                               183,125       6,010       X   X 28-5284      5810               200
                                                               125,384       4,115       X     28-11135     4115
PETROLEUM & RES CORP           COM            716549100         29,442       1,608       X     28-5284      1608
                                                                11,480         627       X   X 28-5284       627
PETSMART INC                   COM            716768106         69,273       3,305       X     28-5284      3145               160
                                                               207,190       9,885       X   X 28-5284      4250              5635
PFIZER INC                     COM            717081103     63,412,718   4,655,853       X     28-5284   4465502       900  189451
                                                            77,428,651   5,684,923       X   X 28-5284   5056378    104709  523836
                                                             8,893,765     652,993       X     28-12474   602872             50121
                                                             2,135,916     156,822       X   X 28-12474   139959      2797   14066
                                                               786,133      57,719       X     28-11135    57719
                                                             1,103,343      81,009       X     28-4580     80579               430
                                                             1,479,364     108,617       X   X 28-4580    107361      1256
PFSWEB INC                     COM NEW        717098206        547,539     547,539       X   X 28-5284              547539
PHARMACEUTICAL HLDRS TR        DEPOSITRY RCPT 71712A206          5,640         100       X     28-5284       100
                                                                 5,640         100       X   X 28-5284       100
PHARMACEUTICAL PROD DEV INC    COM            717124101        244,933      10,326       X     28-5284      9121              1205
                                                               138,762       5,850       X   X 28-5284      4565              1285
                                                               157,501       6,640       X     28-12474     5370              1270
                                                                 5,693         240       X   X 28-12474      240
PHARMERICA CORP                COM            71714F104            266          16       X     28-5284        16
                                                                 1,165          70       X   X 28-5284        70
                                                                32,531       1,955       X     28-11135     1955
   COLUMN TOTAL                                            157,190,306







                                                                                                                  FILE NO. 28-1235
PAGE 172 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
PHILIP MORRIS INTL INC         COM            718172109     38,803,263   1,090,592       X     28-5284   1061261             29331
                                                           138,465,298   3,891,661       X   X 28-5284   3836666      2929   52066
                                                             3,283,038      92,272       X     28-12474    88824              3448
                                                               624,714      17,558       X   X 28-12474    17267               291
                                                               675,700      18,991       X     28-11135    18991
                                                             1,960,743      55,108       X     28-4580     53008              2100
                                                             1,316,602      37,004       X   X 28-4580     37004
PHOENIX COS INC NEW            COM            71902E109          2,996       2,561       X     28-5284      2561
                                                                   135         115       X   X 28-5284       115
                                                                 2,705       2,312       X                  2312
PHOENIX TECHNOLOGY LTD         COM            719153108            324         200       X     28-5284                         200
PIEDMONT NAT GAS INC           COM            720186105        369,347      14,266       X     28-5284     13676               590
                                                                 5,178         200       X   X 28-5284                         200
PIMCO MUNICIPAL INCOME FD      COM            72200R107         12,175       1,200       X     28-5284      1200
PIMCO CORPORATE INCOME FD      COM            72200U100        145,001      18,035       X     28-5284      1450             16585
PIMCO MUN INCOME FD II         COM            72200W106         10,140       1,200       X     28-5284      1200
                                                               143,650      17,000       X   X 28-5284      4000             13000
PIMCO STRATEGIC GBL GOV FD I   COM            72200X104         65,625       8,750       X     28-5284      8750
                                                                23,250       3,100       X   X 28-5284      3100
PIMCO MUN INCOME FD III        COM            72201A103         19,096       2,200       X     28-5284      2200
                                                                60,760       7,000       X   X 28-5284      7000
PIMCO CORPORATE OPP FD         COM            72201B101         72,000       9,000       X   X 28-5284      9000
PIMCO FLOATING RATE INCOME F   COM            72201H108        205,482      37,842       X     28-5284       234             37608
PIMCO HIGH INCOME FD           COM SHS        722014107        179,309      32,192       X     28-5284       692             31500
                                                                24,230       4,350       X   X 28-5284      4350
PIMCO INCOME OPPORTUNITY FD    COM            72202B100         44,256       3,000       X   X 28-5284      3000
PINNACLE AIRL CORP             COM            723443107            197         142       X     28-11135      142
PINNACLE WEST CAP CORP         COM            723484101         65,842       2,479       X     28-5284      1479              1000
                                                               206,371       7,770       X   X 28-5284      7770
   COLUMN TOTAL                                            186,787,427







                                                                                                                  FILE NO. 28-1235
PAGE 173 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
PIONEER DRILLING CO            COM            723655106            581         177       X   X 28-5284       177
PIONEER FLOATING RATE TR       COM            72369J102          6,214         850       X   X 28-5284       850
PIONEER NAT RES CO             NOTE  2.875% 1 723787AH0        222,000       3,000       X     28-5284      3000
PIONEER NAT RES CO             COM            723787107         45,144       2,741       X     28-5284      2509               232
                                                               145,364       8,826       X   X 28-5284      6426              2400
PIONEER SOUTHWST ENRG PRTNR    UNIT LP INT    72388B106         15,750       1,000       X     28-5284      1000
PIPER JAFFRAY COS              COM            724078100          1,006          39       X     28-5284        39
                                                                   232           9       X   X 28-5284         9
PITNEY BOWES INC               COM            724479100      4,659,329     199,543       X     28-5284    188923             10620
                                                             5,733,616     245,551       X   X 28-5284    236351              9200
                                                                17,933         768       X     28-11135      768
                                                               252,787      10,826       X     28-4580     10226               600
                                                                96,225       4,121       X   X 28-4580      4121
PITTSBURGH & W VA RR           SH BEN INT     724819107          1,439         134       X   X 28-5284       134
PLAINS ALL AMERN PIPELINE L    UNIT LTD PARTN 726503105      1,324,500      36,031       X     28-5284     36031
                                                             3,859,432     104,990       X   X 28-5284    103990      1000
PLAINS EXPL& PRODTN CO         COM            726505100         31,789       1,845       X     28-5284      1845
                                                                 7,288         423       X   X 28-5284       423
PLANTRONICS INC NEW            COM            727493108          1,497         124       X   X 28-5284       124
PLEXUS CORP                    COM            729132100         79,465       5,750       X     28-5284      5750
                                                                 1,465         106       X   X 28-5284       106
PLUG POWER INC                 COM            72919P103          1,644       1,890       X   X 28-5284      1890
PLUM CREEK TIMBER CO INC       COM            729251108        404,218      13,905       X     28-5284     13905
                                                             2,012,458      69,228       X   X 28-5284     49228       500   19500
                                                                11,221         386       X     28-11135      386
                                                                 2,762          95       X     28-4580        95
                                                                58,140       2,000       X   X 28-4580      2000
POLARIS INDS INC               COM            731068102         26,586       1,240       X     28-5284                        1240
                                                                 1,072          50       X   X 28-5284                          50
   COLUMN TOTAL                                             19,021,157







                                                                                                                  FILE NO. 28-1235
PAGE 174 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
POLO RALPH LAUREN CORP         CL A           731572103        111,540       2,640       X     28-5284                        2640
                                                                 8,450         200       X   X 28-5284       100               100
POLYCOM INC                    COM            73172K104          1,801         117       X     28-5284       117
POLYONE CORP                   COM            73179P106          1,548         670       X     28-5284                         670
POOL CORPORATION               COM            73278L105         16,884       1,260       X     28-5284                        1260
                                                                91,455       6,825       X   X 28-5284                        6825
POPULAR INC                    COM            733174106          4,320       2,000       X     28-5284      2000
PORTFOLIO RECOVERY ASSOCS IN   COM            73640Q105          4,160         155       X   X 28-5284       155
PORTUGAL TELECOM SGPS S A      SPONSORED ADR  737273102         19,548       2,542       X     28-5284      2542
                                                                10,728       1,395       X   X 28-5284      1395
POST PPTYS INC                 COM            737464107         20,280       2,000       X   X 28-5284      2000
                                                                75,442       7,440       X     28-12474     7440
                                                                 1,927         190       X   X 28-12474      190
POTASH CORP SASK INC           COM            73755L107      1,323,425      16,377       X     28-5284     14527              1850
                                                             1,059,662      13,113       X   X 28-5284      6563              6550
                                                                   646           8       X   X 28-12474        8
                                                                18,263         226       X     28-11135      226
                                                                25,859         320       X     28-4580       320
POTLATCH CORP NEW              COM            737630103            788          34       X     28-5284        34
                                                                 9,438         407       X   X 28-5284       407
POWELL INDS INC                COM            739128106        128,175       3,630       X   X 28-5284      3630
POWER-ONE INC                  COM            739308104            880       1,000       X     28-5284      1000
POWERSHARES QQQ TRUST          UNIT SER 1     73935A104      9,272,584     305,824       X     28-5284    304488              1336
                                                             3,579,458     118,056       X   X 28-5284    110656              7400
                                                                71,555       2,360       X     28-4580      2360
                                                                33,079       1,091       X   X 28-4580      1091
POWERSHARES INDIA ETF TR       INDIA PORT     73935L100          3,597         300       X     28-5284       300
   COLUMN TOTAL                                             15,895,492







                                                                                                                  FILE NO. 28-1235
PAGE 175 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
POWERSHARES DB CMDTY IDX TRA   UNIT BEN INT   73935S105          9,900         495       X     28-5284       495
                                                               843,000      42,150       X   X 28-5284     42150
                                                               300,000      15,000       X     28-4580     15000
                                                               558,000      27,900       X   X 28-4580     27900
POWERSHARES ETF TRUST          PRVT EQTY PORT 73935X195        473,496      87,200       X     28-5284     87200
POWERSHARES ETF TRUST          FINL PFD PTFL  73935X229         70,931       7,494       X     28-5284      7494
POWERSHARES ETF TRUST          CLEANTECH PORT 73935X278         17,842       1,100       X     28-5284      1100
POWERSHARES ETF TRUST          BNKING SEC POR 73935X336        504,047      41,588       X     28-5284     41588
POWERSHARES ETF TRUST          GOLDEN DRG USX 73935X401         39,631       2,685       X   X 28-5284      2685
POWERSHARES ETF TRUST          WNDRHLL CLN EN 73935X500         12,213       1,607       X     28-5284      1607
                                                                57,198       7,526       X   X 28-5284      7526
POWERSHARES ETF TRUST          WATER RESOURCE 73935X575         21,963       1,841       X     28-5284      1841
                                                               461,810      38,710       X   X 28-5284     34710              4000
POWERSHARES ETF TRUST          FTSE RAFI 1000 73935X583        412,654      14,132       X     28-5284     14132
                                                             1,658,297      56,791       X   X 28-5284      6791             50000
                                                               394,375      13,506       X   X 28-4580               13506
POWERSHARES ETF TRUST          DYNM LRG CP GR 73935X609         37,264       3,590       X     28-5284      3590
POWERSHARES ETF TRUST          DYN OIL SVCS   73935X625          3,818         370       X   X 28-5284       370
POWERSHARES ETF TRUST          DYN BLDG CNSTR 73935X666          7,376         800       X   X 28-5284       800
POWERSHARES ETF TRUST          VAL LINE TIME  73935X682         17,519       1,910       X     28-5284      1910
POWERSHARES ETF TRUST          DYNM LRG CP VL 73935X708         39,595       3,188       X     28-5284      3188
POWERSHARES ETF TRUST          INTL DIV ACHV  73935X716         16,758       1,900       X     28-5284      1900
                                                                19,404       2,200       X   X 28-5284      1200              1000
                                                                 2,646         300       X   X 28-4580       300
POWERSHARES ETF TRUST          ZACKS MC PRTFL 73935X740          4,781         682       X     28-5284       682
POWERSHARES ETF TRUST          DYN SFTWR PORT 73935X773          6,955         500       X     28-5284       500
   COLUMN TOTAL                                              5,991,473







                                                                                                                  FILE NO. 28-1235
PAGE 176 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
POWERSHARES ETF TRUST          DYNM MC GRWTH  73935X807         31,803       2,437       X     28-5284      2437
POWERSHARES ETF TRUST          DYN BIOT & GEN 73935X856         12,383         975       X     28-5284       975
POWERSHARES ETF TRUST          DYNM SM CP VAL 73935X864          6,469         726       X     28-5284       726
POWERSHARES ETF TRUST          DYNM SM CP GRW 73935X872          9,506         984       X     28-5284       984
POWERSHARES ETF TRUST          DYMN MC VAL    73935X880          8,702         899       X     28-5284       899
POWERSHS DB MULTI SECT COMM    DB SILVER FUND 73936B309          2,327         100       X   X 28-5284                         100
POWERSHS DB MULTI SECT COMM    DB AGRICULT FD 73936B408         47,584       1,943       X     28-5284      1943
                                                                86,940       3,550       X   X 28-5284                        3550
POWERSHS DB MULTI SECT COMM    DB BASE METALS 73936B705            871          66       X     28-5284        66
POWERSHS DB US DOLLAR INDEX    DOLL INDX BULL 73936D107          7,692         300       X     28-5284       300
                                                                12,820         500       X   X 28-5284       500
POWERSHS DB US DOLLAR INDEX    DOLL INDX BEAR 73936D206         34,146       1,355       X     28-5284      1355
                                                                 2,520         100       X   X 28-5284                         100
POWERSHARES GLOBAL ETF TRUST   WK VRDO TX FR  73936T433         50,040       2,000       X     28-5284      2000
POWERSHARES GLOBAL ETF TRUST   AGG PFD PORT   73936T565         40,746       4,192       X     28-5284      4192
POWERSHARES GLOBAL ETF TRUST   SOVEREIGN DEBT 73936T573          2,772         130       X     28-5284       130
POWERSHARES GLOBAL ETF TRUST   GBL CLEAN ENER 73936T615         10,800       1,000       X     28-5284      1000
                                                                60,480       5,600       X   X 28-5284      5600
POWERSHARES GLOBAL ETF TRUST   GBL WTR PORT   73936T623         17,112       1,550       X     28-5284      1550
                                                                41,521       3,761       X   X 28-5284      3761
POWERSHARES ETF TR II          GLB NUCLR ENRG 73937B100          1,349         100       X     28-5284       100
                                                                 1,349         100       X   X 28-4580       100
POZEN INC                      COM            73941U102          4,284         700       X     28-5284       700
   COLUMN TOTAL                                                494,216







                                                                                                                  FILE NO. 28-1235
PAGE 177 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
PRAXAIR INC                    COM            74005P104     34,115,626     506,994       X     28-5284    478073       160   28761
                                                            17,596,873     261,508       X   X 28-5284    233249     10610   17649
                                                             8,709,210     129,428       X     28-12474   120415              9013
                                                             2,391,823      35,545       X   X 28-12474    31695       760    3090
                                                               328,577       4,883       X     28-11135     4883
                                                               609,849       9,063       X     28-4580      8943               120
                                                               539,195       8,013       X   X 28-4580      8013
PRE PAID LEGAL SVCS INC        COM            740065107          2,032          70       X     28-5284                          70
PRECISION CASTPARTS CORP       COM            740189105      1,699,183      28,367       X     28-5284     27472               895
                                                             1,382,552      23,081       X   X 28-5284     21616       410    1055
                                                                   539           9       X   X 28-12474        9
                                                               471,653       7,874       X     28-11135     7874
PRECISION DRILLING TR          TR UNIT        740215108          2,680       1,000       X     28-5284      1000
                                                                 2,948       1,100       X   X 28-5284      1100
PREMIERE GLOBAL SVCS INC       COM            740585104          1,773         201       X   X 28-5284       201
PRESIDENTIAL LIFE CORP         COM            740884101          1,324         170       X     28-5284                         170
PRESSTEK INC                   COM            741113104          6,210       3,000       X   X 28-5284                3000
PRESTIGE BRANDS HLDGS INC      COM            74112D101        729,712     140,871       X     28-5284    140871
                                                               466,200      90,000       X   X 28-5284     90000
                                                                94,473      18,238       X     28-11135    18238
PRESSURE BIOSCIENCES INC       COM            74112E109         12,958      15,068       X   X 28-5284               15068
PRICE T ROWE GROUP INC         COM            74144T108      6,715,145     232,680       X     28-5284    210670             22010
                                                            16,345,987     566,389       X   X 28-5284    525593             40796
                                                                 7,908         274       X     28-11135      274
                                                               651,370      22,570       X   X 28-4580     22570
PRICELINE COM INC              COM NEW        741503403        185,527       2,355       X     28-5284      2335                20
                                                               109,347       1,388       X   X 28-5284      1388
                                                               967,812      12,285       X     28-12474    11928               357
                                                               151,336       1,921       X   X 28-12474     1921
                                                               168,195       2,135       X     28-11135     2135
   COLUMN TOTAL                                             94,468,017







                                                                                                                  FILE NO. 28-1235
PAGE 178 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
PRIDE INTL INC DEL             COM            74153Q102          5,394         300       X   X 28-5284       300
PRINCIPAL FINANCIAL GROUP IN   COM            74251V102         69,326       8,475       X     28-5284      7415              1060
                                                                79,444       9,712       X   X 28-5284      3312              6400
                                                                 3,051         373       X                   373
PROASSURANCE CORP              COM            74267C106          1,958          42       X   X 28-5284        42
PROCTER & GAMBLE CO            COM            742718109    357,758,788   7,597,341       X     28-5284   7389786       930  206625
                                                           271,410,796   5,763,661       X   X 28-5284   4875916     52720  835025
                                                            12,145,453     257,920       X     28-12474   238458             19462
                                                             3,079,215      65,390       X   X 28-12474    57849      1484    6057
                                                             1,118,811      23,759       X     28-11135    23759
                                                             4,934,467     104,788       X     28-4580    104308               480
                                                             3,364,769      71,454       X   X 28-4580     71154       300
PRIVATEBANCORP INC             COM            742962103         44,826       3,100       X   X 28-5284      3100
PROGENICS PHARMACEUTICALS IN   COM            743187106            330          50       X     28-5284        50
                                                                 7,249       1,100       X   X 28-5284      1100
PROGRESS ENERGY INC            COM            743263105      2,314,440      63,829       X     28-5284     58793              5036
                                                             1,677,351      46,259       X   X 28-5284     39245       950    6064
                                                               398,497      10,990       X     28-11135    10990
                                                               115,126       3,175       X     28-4580      3175
                                                                76,146       2,100       X   X 28-4580      2100
PROGRESS SOFTWARE CORP         COM            743312100          6,250         360       X     28-5284                         360
                                                                   955          55       X     28-11135       55
PROGRESSIVE CORP OHIO          COM            743315103      1,030,794      76,696       X     28-5284     56796             19900
                                                               520,034      38,693       X   X 28-5284       652      4360   33681
                                                                 3,118         232       X     28-11135      232
PROLOGIS                       SH BEN INT     743410102         31,298       4,815       X     28-5284      3815              1000
                                                                61,094       9,399       X   X 28-5284      9399
                                                               447,298      68,815       X     28-12474    68815
                                                                11,310       1,740       X   X 28-12474     1740
                                                                17,596       2,707       X     28-11135     2707
PROSHARES TR                   PSHS ULT S&P 5 74347R107        106,660       5,406       X     28-5284      5406
                                                               233,801      11,850       X   X 28-5284     11850
   COLUMN TOTAL                                            661,075,645







                                                                                                                  FILE NO. 28-1235
PAGE 179 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
PROSHARES TR                   PSHS ULTRA QQQ 74347R206          2,701         100       X     28-5284       100
                                                                91,834       3,400       X   X 28-5284      1600              1800
PROSHARES TR                   PSHS ULTSH 20Y 74347R297        339,694       7,784       X     28-5284      7784
                                                                17,892         410       X   X 28-5284       410
PROSHARES TR                   PSHS ULSHT 7-1 74347R313        238,818       4,590       X     28-5284      4590
PROSHARES TR                   PSHS UL XIN CH 74347R321            531          20       X     28-5284        20
PROSHARES TR                   PSHS SH MSCI E 74347R370         82,958         880       X   X 28-5284       880
PROSHARES TR                   PSHS SHRT S&P5 74347R503        109,159       1,395       X     28-5284      1395
                                                               130,678       1,670       X   X 28-5284      1670
PROSHARES TR                   PSHS ULTSHT FI 74347R628         98,160       1,000       X     28-5284      1000
PROSHARES TR                   PSHS SHORT DOW 74347R701         14,432         190       X     28-5284       190
PROSHARES TR                   PSHS ULTRA O&G 74347R719        110,734       5,160       X     28-5284      5160
PROSHARES TR                   PSHS ULTRA FIN 74347R743         60,604      23,220       X     28-5284     23220
                                                                58,550      22,433       X   X 28-5284     22433
PROSHARES TR                   PSHS ULT BASMA 74347R776         32,526       2,715       X     28-5284      2715
                                                                 4,792         400       X   X 28-5284       400
PROSHARES TR                   PSHS SHT SCAP6 74347R784         20,294         320       X   X 28-5284       320
PROSHARES TR                   PSHS SH MDCAP4 74347R800         55,162         780       X   X 28-5284       780
PROSHARES TR                   PSHS ULSHRUS20 74347R834          7,042         100       X   X 28-5284       100
PROSHARES TR                   PSHS ULTSHRT Q 74347R875          9,700         200       X   X 28-5284       200
PROSHARES TR                   PSHS ULSHT SP5 74347R883        126,880       1,600       X     28-5284                        1600
                                                                15,860         200       X   X 28-5284       200
PROSPECT CAPITAL CORPORATION   COM            74348T102          4,890         574       X   X 28-5284       574
PROSPERITY BANCSHARES INC      COM            743606105          3,774         138       X   X 28-5284       138
PROTECTION ONE INC             COM NEW        743663403          3,190       1,000       X   X 28-5284                1000
   COLUMN TOTAL                                              1,640,855







                                                                                                                  FILE NO. 28-1235
PAGE 180 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
PROTECTIVE LIFE CORP           COM            743674103         19,688       3,750       X   X 28-5284      1500              2250
PROVIDENT BANKSHARES CORP      COM            743859100          7,614       1,080       X     28-5284       800               280
                                                                19,811       2,810       X   X 28-5284      2810
PROVIDENT ENERGY TR            TR UNIT        74386K104         66,811      17,960       X     28-5284     17960
                                                                94,209      25,325       X   X 28-5284     25325
PROVIDENT FINL SVCS INC        COM            74386T105         67,627       6,256       X   X 28-5284      6256
PROXIM WIRELESS CORP           COM            744285107         88,321     519,538       X   X 28-5284              519538
PRUDENTIAL FINL INC            COM            744320102        424,146      22,300       X     28-5284     20426              1874
                                                               109,042       5,733       X   X 28-5284      5350       333      50
                                                                 3,671         193       X     28-11135      193
                                                                 5,231         275       X     28-4580       275
                                                                 3,329         175       X   X 28-4580       175
PRUDENTIAL PLC                 ADR            74435K204        203,432      20,632       X     28-11135    20632
PSYCHIATRIC SOLUTIONS INC      COM            74439H108         21,314       1,355       X     28-11135     1355
PUBLIC SVC ENTERPRISE GROUP    COM            744573106      5,297,940     179,774       X     28-5284    177854              1920
                                                             8,801,540     298,661       X   X 28-5284    278441             20220
                                                               518,643      17,599       X     28-11135    17599
                                                                41,965       1,424       X     28-4580      1424
                                                               192,970       6,548       X   X 28-4580      6548
PUBLIC STORAGE                 COM            74460D109        138,401       2,505       X     28-5284      2005               500
                                                               142,766       2,584       X   X 28-5284       831              1753
                                                               563,274      10,195       X     28-12474    10195
                                                                14,365         260       X   X 28-12474      260
PUBLIC STORAGE                 COM A DP1/1000 74460D729         31,170       1,357       X     28-5284      1357
                                                                11,485         500       X   X 28-5284       500
PULTE HOMES INC                COM            745867101        214,173      19,595       X     28-5284      2396             17199
PURE BIOSCIENCE                COM            746218106          3,880       2,000       X     28-5284      2000
PUTMAN HIGH INCOME SEC FUND    SHS BEN INT    746779107         21,841       4,121       X     28-4580      4121
PUTNAM MANAGED MUN INCOM TR    COM            746823103         10,478       1,919       X   X 28-5284      1919
   COLUMN TOTAL                                             17,139,137







                                                                                                                  FILE NO. 28-1235
PAGE 181 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
PUTNAM PREMIER INCOME TR       SH BEN INT     746853100        107,022      25,241       X     28-5284     25241
                                                               365,861      86,288       X   X 28-5284     16188             70100
PUTNAM MASTER INTER INCOME T   SH BEN INT     746909100          6,583       1,538       X     28-5284      1538
                                                               240,883      56,281       X   X 28-5284                       56281
                                                                 9,009       2,105       X     28-4580      2105
PUTNAM MUN OPPORTUNITIES TR    SH BEN INT     746922103          4,877         521       X     28-5284       521
                                                                 7,020         750       X   X 28-5284       750
QLT INC                        COM            746927102         43,170      24,390       X   X 28-5284     24390
QLOGIC CORP                    COM            747277101          1,179         106       X     28-5284        96                10
                                                                 4,448         400       X   X 28-5284       400
                                                                   845          76       X     28-11135       76
QUAKER CHEM CORP               COM            747316107         32,475       4,090       X     28-5284      4000                90
                                                                11,910       1,500       X   X 28-5284      1500
QUALCOMM INC                   COM            747525103     27,823,101     715,063       X     28-5284    670139       450   44474
                                                            16,653,208     427,993       X   X 28-5284    349326      4385   74282
                                                            13,755,463     353,520       X     28-12474   328288             25232
                                                             3,639,797      93,544       X   X 28-12474    83525      2037    7982
                                                               216,223       5,557       X     28-11135     5557
                                                               922,245      23,702       X     28-4580     23392               310
                                                               320,852       8,246       X   X 28-4580      8068               178
QUALSTAR CORP                  COM            74758R109        137,560      68,780       X   X 28-5284               68780
QUALITY SYS INC                COM            747582104         24,707         546       X     28-5284       546
QUANEX BUILDING PRODUCTS COR   COM            747619104            205          27       X     28-11135       27
QUANTA SVCS INC                COM            74762E102         10,725         500       X     28-5284       300               200
                                                                 6,778         316       X   X 28-5284       316
                                                                15,122         705       X     28-4580       705
QUANTUM CORP                   COM DSSG       747906204            123         183       X     28-11135      183
QUATERRA RES INC               COM            747952109         14,000      25,000       X     28-5284                       25000
   COLUMN TOTAL                                             64,375,391







                                                                                                                  FILE NO. 28-1235
PAGE 182 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
QUEST DIAGNOSTICS INC          COM            74834L100      1,560,478      32,866       X     28-5284     31242              1624
                                                               855,020      18,008       X   X 28-5284     15508       300    2200
                                                               429,931       9,055       X     28-11135     9055
                                                                 4,748         100       X     28-4580       100
                                                                98,948       2,084       X   X 28-4580      2084
QUESTAR CORP                   COM            748356102      1,649,198      56,038       X     28-5284     38192             17846
                                                             3,577,069     121,545       X   X 28-5284    106145             15400
                                                             1,814,919      61,669       X     28-12474    57803              3866
                                                               336,944      11,449       X   X 28-12474    10660               789
                                                                 4,591         156       X     28-11135      156
QUICKSILVER RESOURCES INC      COM            74837R104            244          44       X     28-5284        44
                                                                19,390       3,500       X   X 28-5284      3500
                                                                   111          20       X     28-11135       20
QUIKSILVER INC                 COM            74838C106          1,280       1,000       X     28-5284                        1000
QUIDEL CORP                    COM            74838J101        170,957      18,542       X     28-11135    18542
QWEST COMMUNICATIONS INTL IN   COM            749121109         99,902      29,211       X     28-5284     23831              5380
                                                               106,106      31,025       X   X 28-5284     31025
                                                                   588         172       X     28-4580       172
RCN CORP                       COM NEW        749361200         32,682       8,833       X   X 28-5284                8833
RGC RES INC                    COM            74955L103         19,508         850       X   X 28-5284                         850
RLI CORP                       COM            749607107          8,032         160       X     28-5284                         160
                                                                 5,020         100       X   X 28-5284                         100
RPM INTL INC                   COM            749685103        528,053      41,481       X     28-5284      6281             35200
                                                               672,628      52,838       X   X 28-5284     37838             15000
                                                                17,822       1,400       X   X 28-4580      1400
RTI INTL METALS INC            COM            74973W107          3,803         325       X     28-5284       125               200
RF MICRODEVICES INC            COM            749941100            266         200       X   X 28-5284       200
                                                                   904         680       X     28-4580       680
RADIAN GROUP INC               COM            750236101          2,834       1,557       X     28-5284                        1557
RADIANT SYSTEMS INC            COM            75025N102          1,632         370       X     28-5284       170               200
   COLUMN TOTAL                                             12,023,608







                                                                                                                  FILE NO. 28-1235
PAGE 183 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
RADIOSHACK CORP                COM            750438103          5,485         640       X     28-5284       200               440
                                                                47,992       5,600       X   X 28-5284      5600
RADISYS CORP                   COM            750459109          1,030         170       X     28-5284                         170
RALCORP HLDGS INC NEW          COM            751028101        211,802       3,931       X     28-5284      3391               540
                                                               106,575       1,978       X   X 28-5284      1964                14
                                                             1,313,433      24,377       X     28-12474    22960              1417
                                                               182,923       3,395       X   X 28-12474     3143               252
RANGE RES CORP                 COM            75281A109         57,501       1,397       X     28-5284       917               480
                                                                   988          24       X   X 28-5284        24
                                                                90,017       2,187       X     28-11135     2187
RAVEN INDS INC                 COM            754212108         12,780         615       X   X 28-5284       615
RAYMOND JAMES FINANCIAL INC    COM            754730109          1,359          69       X     28-5284        69
                                                                61,563       3,125       X   X 28-5284      3125
RAYONIER INC                   COM            754907103        160,529       5,312       X     28-5284      4096              1216
                                                               135,597       4,487       X   X 28-5284      4098               389
RAYTHEON CO                    *W EXP 06/16/2 755111119         33,045       5,045       X     28-5284      5045
                                                                 2,306         352       X   X 28-5284                         352
RAYTHEON CO                    COM NEW        755111507     10,582,179     271,756       X     28-5284    256616       210   14930
                                                            12,811,260     329,000       X   X 28-5284    317359      2630    9011
                                                             6,136,516     157,589       X     28-12474   146152             11437
                                                             1,571,696      40,362       X   X 28-12474    36299       918    3145
                                                               572,029      14,690       X     28-11135    14690
                                                               306,380       7,868       X     28-4580      7728               140
                                                               226,592       5,819       X   X 28-4580      4769      1050
REALTY INCOME CORP             COM            756109104         52,056       2,766       X     28-5284      2766
                                                                29,171       1,550       X   X 28-5284       550              1000
REAVES UTIL INCOME FD          COM SH BEN INT 756158101          5,185         481       X     28-5284       481
RED HAT INC                    COM            756577102          6,779         380       X     28-5284                         380
                                                                19,624       1,100       X   X 28-5284      1100
   COLUMN TOTAL                                             34,744,392







                                                                                                                  FILE NO. 28-1235
PAGE 184 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
REDDY ICE HLDGS INC            COM            75734R105            410         279       X     28-5284       279
                                                                   178         121       X   X 28-5284       121
REDWOOD TR INC                 COM            758075402         98,087       6,390       X   X 28-5284                        6390
                                                               105,224       6,855       X   X 28-12474     6855
REED ELSEVIER N V              SPONS ADR NEW  758204200         15,394         719       X     28-5284       719
                                                               263,279      12,297       X     28-11135    12297
REED ELSEVIER P L C            SPONS ADR NEW  758205207        467,400      16,400       X   X 28-5284     16400
RENEGY HOLDINGS INC            COM            75845J109            161         107       X     28-5284       107
REGAL BELOIT CORP              COM            758750103          8,579         280       X     28-5284                         280
                                                                 2,451          80       X     28-11135       80
REGAL ENTMT GROUP              CL A           758766109         36,207       2,700       X     28-5284      1500              1200
                                                                 3,165         236       X   X 28-5284       236
                                                                22,891       1,707       X     28-11135     1707
REGENCY CTRS CORP              COM            758849103          3,720         140       X     28-5284                         140
                                                                 7,307         275       X   X 28-5284       275
                                                               942,172      35,460       X     28-12474    35460
                                                                23,647         890       X   X 28-12474      890
REGENERON PHARMACEUTICALS      COM            75886F107          7,207         520       X     28-5284                         520
REGENT COMMUNICATIONS INC DE   COM            758865109         93,186     716,815       X   X 28-5284              716815
REGIS CORP MINN                COM            758932107            968          67       X     28-5284        67
                                                                 1,228          85       X   X 28-5284                          85
REGIONS FINANCIAL CORP NEW     COM            7591EP100        433,242     101,700       X     28-5284     48706             52994
                                                               273,880      64,291       X   X 28-5284     51041             13250
REHABCARE GROUP INC            COM            759148109          2,616         150       X     28-5284                         150
                                                                   767          44       X     28-11135       44
REINSURANCE GROUP AMER INC     COM NEW        759351604          9,814         303       X     28-11135      303
   COLUMN TOTAL                                              2,823,180







                                                                                                                  FILE NO. 28-1235
PAGE 185 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
RELIANT ENERGY INC             COM            75952B105          5,739       1,799       X     28-5284      1799
                                                                19,714       6,180       X   X 28-5284      5550               630
                                                                   501         157       X     28-11135      157
RENESOLA LTD                   SPONS ADS      75971T103          5,200       1,300       X   X 28-5284      1300
RENTECH INC                    COM            760112102          1,100       2,000       X     28-5284      2000
REPSOL YPF S A                 SPONSORED ADR  76026T205         10,203         597       X     28-5284       597
                                                                 8,630         505       X   X 28-5284       505
                                                                88,697       5,190       X     28-11135     5190
REPUBLIC FIRST BANCORP INC     COM            760416107          8,556       1,200       X     28-5284      1200
REPUBLIC SVCS INC              COM            760759100         27,766       1,619       X     28-5284       499              1120
                                                                 7,014         409       X   X 28-5284       409
RES-CARE INC                   COM            760943100        789,152      54,200       X     28-5284     54200
RESEARCH IN MOTION LTD         COM            760975102        291,596       6,764       X     28-5284      6764
                                                               135,710       3,148       X   X 28-5284      3148
                                                               135,753       3,149       X     28-11135     3149
                                                                 5,389         125       X     28-4580       125
RESMED INC                     COM            761152107         49,476       1,400       X     28-5284      1400
                                                               408,672      11,564       X   X 28-5284      2439              9125
RESOURCE AMERICA INC           CL A           761195205          5,964       1,491       X   X 28-5284      1491
RESOURCE CAP CORP              COM            76120W302            912         300       X     28-5284       300
RETRACTABLE TECHNOLOGIES INC   COM            76129W105        761,750   1,115,300       X   X 28-5284             1115300
REX ENERGY CORPORATION         COM            761565100          1,076         375       X   X 28-5284       375
REYNOLDS AMERICAN INC          COM            761713106        327,327       9,133       X     28-5284      7993              1140
                                                                92,682       2,586       X   X 28-5284      2486               100
                                                                 2,580          72       X     28-4580        72
RICKS CABARET INTL INC         COM NEW        765641303            908         200       X   X 28-5284       200
RIGHTNOW TECHNOLOGIES INC      COM            76657R106          5,110         675       X     28-5284       675
   COLUMN TOTAL                                              3,197,177







                                                                                                                  FILE NO. 28-1235
PAGE 186 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
RIO TINTO PLC                  SPONSORED ADR  767204100        392,662       2,929       X     28-5284      2929
                                                               763,472       5,695       X   X 28-5284      1351              4344
                                                                   670           5       X     28-4580         5
RITCHIE BROS AUCTIONEERS       COM            767744105            651          35       X     28-5284        35
                                                                 5,577         300       X   X 28-5284       300
RITE AID CORP                  COM            767754104          3,598       9,994       X     28-5284      8994              1000
                                                                 2,304       6,400       X   X 28-5284      5800               600
RIVERBED TECHNOLOGY INC        COM            768573107          1,308         100       X   X 28-5284       100
RIVUS BOND FUND                COM            769667106         42,687       3,100       X   X 28-5284                        3100
ROBBINS & MYERS INC            COM            770196103          4,399         290       X     28-5284                         290
                                                                 1,881         124       X   X 28-5284       124
ROBERT HALF INTL INC           COM            770323103         10,466         587       X     28-5284       587
                                                                58,839       3,300       X   X 28-5284                        3300
ROCHESTER MED CORP             COM            771497104          6,987         634       X     28-11135      634
ROCKWELL AUTOMATION INC        COM            773903109        279,203      12,784       X     28-5284     12164               620
                                                               444,269      20,342       X   X 28-5284     20342
                                                                 5,460         250       X   X 28-4580       250
ROCKWELL COLLINS INC           COM            774341101        839,501      25,720       X     28-5284     25620               100
                                                             1,165,640      35,712       X   X 28-5284     30262       100    5350
                                                                23,990         735       X     28-12474      735
                                                                   424          13       X   X 28-12474       13
ROGERS COMMUNICATIONS INC      CL B           775109200         64,381       2,820       X     28-5284      2820
ROGERS CORP                    COM            775133101          3,021         160       X     28-5284                         160
ROHM & HAAS CO                 COM            775371107      3,063,092      38,852       X     28-5284     37477              1375
                                                             6,597,883      83,687       X   X 28-5284     79462              4225
                                                                 5,834          74       X     28-11135       74
                                                               315,360       4,000       X   X 28-4580      4000
ROLLINS INC                    COM            775711104         19,122       1,115       X     28-5284      1115
                                                                63,661       3,712       X   X 28-5284      3712
   COLUMN TOTAL                                             14,186,342







                                                                                                                  FILE NO. 28-1235
PAGE 187 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
ROPER INDS INC NEW             COM            776696106        475,440      11,200       X     28-5284     11200
                                                             1,253,336      29,525       X   X 28-5284     23550              5975
                                                                13,754         324       X     28-11135      324
                                                                77,599       1,828       X   X 28-4580      1828
ROSETTA RESOURCES INC          COM            777779307            678         137       X   X 28-5284       137
ROSS STORES INC                COM            778296103     16,408,175     457,307       X     28-5284    430043             27264
                                                             4,638,459     129,277       X   X 28-5284    118241      6176    4860
                                                            16,949,389     472,391       X     28-12474   440152             32239
                                                             4,063,554     113,254       X   X 28-12474   102038      2265    8951
                                                                50,053       1,395       X     28-11135     1395
                                                               671,925      18,727       X     28-4580     18367               360
                                                               255,573       7,123       X   X 28-4580      7123
ROWAN COS INC                  COM            779382100            192          16       X     28-11135       16
ROYAL BANCSHARES PA INC        CL A           780081105            519         247       X   X 28-5284       247
ROYAL BK CDA MONTREAL QUE      COM            780087102             58           2       X     28-5284         2
                                                               189,426       6,550       X   X 28-5284      2500              4050
ROYAL BK SCOTLAND GROUP PLC    SPONS ADR 20 O 780097689            828         117       X     28-5284       117
                                                                 1,154         163       X   X 28-5284       163
ROYAL BK SCOTLAND GROUP PLC    SP ADR PREF T  780097713         73,563      11,770       X     28-5284     11770
ROYAL BK SCOTLAND GROUP PLC    SP ADR PREF S  780097739          9,248       1,600       X     28-5284      1600
                                                               119,195      20,622       X   X 28-5284     20622
ROYAL BK SCOTLAND GROUP PLC    ADR PREF SHS Q 780097754          7,104       1,200       X     28-5284      1200
                                                                 5,920       1,000       X   X 28-5284      1000
ROYAL BK SCOTLAND GROUP PLC    ADR PFD SER P  780097762          7,215       1,300       X     28-5284      1300
                                                                19,980       3,600       X   X 28-5284      3600
ROYAL BK SCOTLAND GROUP PLC    ADR PREF SER N 780097770         15,708       2,800       X     28-5284      2800
                                                                13,464       2,400       X   X 28-5284      2400
ROYAL BK SCOTLAND GROUP PLC    SP ADR PREF M  780097796          1,722         300       X     28-5284       300
                                                                21,812       3,800       X   X 28-5284      3800
   COLUMN TOTAL                                             45,345,043







                                                                                                                  FILE NO. 28-1235
PAGE 188 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
ROYAL BK SCOTLAND GROUP PLC    SPON ADR F     780097804          3,400         500       X     28-5284       500
                                                                 2,040         300       X   X 28-5284       300
ROYAL BK SCOTLAND GROUP PLC    SPON ADR SER H 780097879         10,659       1,700       X     28-5284       700              1000
                                                                 6,270       1,000       X   X 28-5284      1000
ROYAL DUTCH SHELL PLC          SPON ADR B     780259107        188,875       4,331       X     28-5284      3814               517
                                                             1,609,165      36,899       X   X 28-5284     36799               100
                                                                   872          20       X     28-11135       20
                                                                54,556       1,251       X     28-4580      1251
ROYAL DUTCH SHELL PLC          SPONS ADR A    780259206     17,186,229     387,951       X     28-5284    382086              5865
                                                            22,763,998     513,860       X   X 28-5284    489876       500   23484
                                                               108,314       2,445       X     28-11135     2445
                                                               428,735       9,678       X     28-4580      9678
                                                               354,533       8,003       X   X 28-4580      8003
ROYAL GOLD INC                 COM            780287108         36,052         771       X     28-5284       771
ROYCE VALUE TR INC             COM            780910105         63,194       8,951       X     28-5284      6675              2276
RUBY TUESDAY INC               COM            781182100         14,069       4,818       X   X 28-5284      4818
RUDDICK CORP                   COM            781258108         14,480         645       X     28-11135      645
RUDOLPH TECHNOLOGIES INC       COM            781270103            697         230       X     28-5284                         230
RUSS BERRIE & CO               COM            782233100            172         130       X     28-5284                         130
RYANAIR HLDGS PLC              SPONSORED ADR  783513104          5,385         233       X     28-5284       233
RYDER SYS INC                  COM            783549108         14,155         500       X     28-5284       500
                                                                 1,500          53       X   X 28-5284        53
RYDEX ETF TRUST                TOP 50 ETF     78355W205         87,360       1,400       X   X 28-5284      1400
RYLAND GROUP INC               COM            783764103         53,362       3,203       X     28-5284        25              3178
                                                                 3,332         200       X   X 28-5284       200
S & T BANCORP INC              COM            783859101        106,856       5,038       X     28-5284      5038
                                                                96,802       4,564       X   X 28-5284      4164               400
   COLUMN TOTAL                                             43,215,062







                                                                                                                  FILE NO. 28-1235
PAGE 189 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
SBA COMMUNICATIONS CORP        COM            78388J106          6,524         280       X     28-5284                         280
SAIC INC                       COM            78390X101         85,882       4,600       X   X 28-5284       100              4500
SEI INVESTMENTS CO             COM            784117103        183,699      15,045       X     28-5284     15045
                                                               124,542      10,200       X   X 28-5284     10200
SJW CORP                       COM            784305104         35,602       1,400       X   X 28-5284      1400
SK TELECOM LTD                 SPONSORED ADR  78440P108          6,180         400       X     28-5284       400
                                                                13,102         848       X   X 28-5284       848
SL GREEN RLTY CORP             COM            78440X101        438,998      40,648       X     28-12474    40648
                                                               191,095      17,694       X   X 28-12474    17694
                                                                   324          30       X     28-11135       30
SLM CORP                       COM            78442P106        284,907      57,557       X     28-5284     13957             43600
                                                               103,455      20,900       X   X 28-5284       500             20400
SPDR TR                        UNIT SER 1     78462F103    263,857,380   3,318,126       X     28-5284   3232106       780   85240
                                                           110,798,317   1,393,339       X   X 28-5284   1265093       882  127364
                                                                69,739         877       X     28-12474      877
                                                             1,309,615      16,469       X     28-11135    16469
                                                                87,472       1,100       X     28-11439     1100
                                                             9,040,549     113,689       X     28-4580    112989               700
                                                               865,734      10,887       X   X 28-4580     10887
SPSS INC                       COM            78462K102          4,549         160       X     28-5284                         160
                                                                 1,507          53       X     28-11135       53
SPDR GOLD TRUST                GOLD SHS       78463V107     13,879,467     153,738       X     28-5284    148143              5595
                                                             3,943,340      43,679       X   X 28-5284     40597       256    2826
                                                             1,268,073      14,046       X     28-4580     14046
                                                             1,505,870      16,680       X   X 28-4580     16680
SPDR INDEX SHS FDS             EMERG MKTS ETF 78463X509         11,070         300       X     28-5284       300
                                                                 7,528         204       X   X 28-5284       204
SPDR INDEX SHS FDS             MIDEAST AFRICA 78463X806         12,315         300       X     28-5284       300
SPDR INDEX SHS FDS             MSCI ACWI EXUS 78463X848      1,891,670      93,926       X     28-5284     93926
                                                                24,067       1,195       X   X 28-5284      1195
   COLUMN TOTAL                                            410,052,572







                                                                                                                  FILE NO. 28-1235
PAGE 190 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
SPDR INDEX SHS FDS             DJWS INTL REAL 78463X863          7,059         320       X     28-5284       320
                                                                11,582         525       X   X 28-5284       525
SPX CORP                       COM            784635104      2,291,032      48,735       X     28-5284     44086              4649
                                                             1,717,181      36,528       X   X 28-5284     36003        40     485
                                                             2,765,645      58,831       X     28-12474    56436              2395
                                                               437,710       9,311       X   X 28-12474     9033               278
                                                                11,000         234       X     28-4580       234
                                                                 5,876         125       X   X 28-4580       125
SPDR SERIES TRUST              MORGAN TECH ET 78464A102      1,614,808      44,806       X     28-5284     44806
                                                               201,968       5,604       X   X 28-5284      5404       200
                                                                58,709       1,629       X     28-4580      1629
                                                                 6,739         187       X   X 28-4580       187
SPDR SERIES TRUST              DJWS SMCAP VL  78464A300         22,807         641       X   X 28-5284       641
SPDR SERIES TRUST              BRCLYS INTL ET 78464A516         42,455         830       X     28-5284       830
                                                             1,585,650      31,000       X   X 28-5284     31000
SPDR SERIES TRUST              DJ WLSH REIT E 78464A607      3,585,715     135,874       X     28-5284    130524              5350
                                                               590,503      22,376       X   X 28-5284     18996              3380
                                                               578,627      21,926       X     28-11135    21926
SPDR SERIES TRUST              BRCLYS 1-3MT E 78464A680          9,997         218       X     28-11135      218
SPDR SERIES TRUST              KBW REGN BK ET 78464A698        551,037      28,670       X     28-5284     28670
                                                                21,526       1,120       X   X 28-5284      1120
SPDR SERIES TRUST              S&P OILGAS EXP 78464A730         34,899       1,312       X   X 28-5284                        1312
SPDR SERIES TRUST              S&P METALS MNG 78464A755          5,020         200       X     28-5284       200
                                                               301,200      12,000       X   X 28-5284     12000
SPDR SERIES TRUST              S&P DIVID ETF  78464A763        175,136       5,200       X   X 28-5284      5200
SPDR SERIES TRUST              SPDR KBW BK ET 78464A797          1,040          75       X     28-5284        75
SPDR SERIES TRUST              S&P BIOTECH    78464A870         19,200         400       X   X 28-5284                         400
SPDR SERIES TRUST              S&P HOMEBUILD  78464A888         91,332       8,600       X   X 28-5284      8600
   COLUMN TOTAL                                             16,745,453







                                                                                                                  FILE NO. 28-1235
PAGE 191 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
SRA INTL INC                   CL A           78464R105            662          45       X     28-5284        45
                                                                14,700       1,000       X   X 28-5284                        1000
SVB FINL GROUP                 COM            78486Q101            200          10       X   X 28-5284        10
SWS GROUP INC                  COM            78503N107          3,572         230       X     28-5284                         230
S Y BANCORP INC                COM            785060104        117,199       4,823       X     28-5284      4823
                                                                30,983       1,275       X   X 28-5284      1275
SABINE ROYALTY TR              UNIT BEN INT   785688102          7,058         200       X     28-5284       200
                                                                 3,529         100       X   X 28-5284       100
SAFEGUARD SCIENTIFICS INC      COM            786449108          2,982       5,422       X     28-5284      5422
                                                               201,355     366,100       X   X 28-5284    366100
SAFETY INS GROUP INC           COM            78648T100          9,324         300       X   X 28-5284       300
SAFEWAY INC                    COM NEW        786514208        156,311       7,742       X     28-5284      5082              2660
                                                                34,444       1,706       X   X 28-5284      1706
                                                               376,443      18,645       X     28-11135    18645
SAGA COMMUNICATIONS INC        CL A NEW       786598300             61          16       X     28-11135       16
ST JOE CO                      COM            790148100          1,055          63       X     28-5284        63
                                                               366,857      21,915       X   X 28-5284      5100             16815
ST JUDE MED INC                COM            790849103     14,891,376     409,892       X     28-5284    390448       330   19114
                                                             5,134,882     141,340       X   X 28-5284    130735      2240    8365
                                                            11,548,108     317,867       X     28-12474   295308             22559
                                                             2,999,623      82,566       X   X 28-12474    73865      1965    6736
                                                               159,016       4,377       X     28-11135     4377
                                                               563,188      15,502       X     28-4580     15192               310
                                                               232,984       6,413       X   X 28-4580      6413
ST MARY LD & EXPL CO           COM            792228108         16,141       1,220       X     28-5284       700               520
                                                               107,163       8,100       X   X 28-5284      5100              3000
                                                                15,294       1,156       X     28-11135     1156
SAKS INC                       COM            79377W108            374         200       X     28-5284       200
                                                                   935         500       X   X 28-5284                         500
   COLUMN TOTAL                                             36,995,819







                                                                                                                  FILE NO. 28-1235
PAGE 192 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
SALESFORCE COM INC             COM            79466L302        330,737      10,105       X     28-5284      8980              1125
                                                                38,458       1,175       X   X 28-5284       975               200
SALLY BEAUTY HLDGS INC         COM            79546E104        201,543      35,483       X     28-11135    35483
SAN JUAN BASIN RTY TR          UNIT BEN INT   798241105         38,626       2,703       X     28-5284      2703
                                                               119,479       8,361       X   X 28-5284      8361
SANDISK CORP                   COM            80004C101         56,470       4,464       X     28-5284      4464
                                                                13,915       1,100       X   X 28-5284      1100
                                                               104,021       8,223       X     28-12474     6913              1310
                                                                 3,163         250       X   X 28-12474      250
SANDY SPRING BANCORP INC       COM            800363103         12,767       1,144       X     28-5284      1144
                                                                45,756       4,100       X   X 28-5284      4100
SANGAMO BIOSCIENCES INC        COM            800677106            423         100       X     28-5284       100
SANMINA SCI CORP               COM            800907107             87         285       X     28-5284       285
SANOFI AVENTIS                 SPONSORED ADR  80105N105        130,489       4,672       X     28-5284      4572               100
                                                               216,709       7,759       X   X 28-5284      5124              2635
                                                                    56           2       X     28-12474        2
                                                               400,125      14,326       X     28-11135    14326
                                                                 2,653          95       X     28-4580        95
SAP AKTIENGESELLSCHAFT         SPONSORED ADR  803054204        165,228       4,682       X     28-5284      4682
                                                               451,324      12,789       X   X 28-5284      1657      1600    9532
SARA LEE CORP                  COM            803111103      1,851,063     229,092       X     28-5284    223490              5602
                                                             1,782,900     220,656       X   X 28-5284    213956              6700
                                                                   404          50       X     28-4580        50
                                                                 4,452         551       X   X 28-4580       551
SASOL LTD                      SPONSORED ADR  803866300         91,366       3,156       X     28-5284      3156
                                                                   521          18       X   X 28-5284        18
                                                                 2,895         100       X   X 28-4580       100
SATCON TECHNOLOGY CORP         COM            803893106            498         300       X   X 28-4580       300
SATYAM COMPUTER SERVICES LTD   ADR            804098101          2,826       1,800       X     28-5284      1800
                                                                 1,884       1,200       X   X 28-5284      1200
   COLUMN TOTAL                                              6,070,838







                                                                                                                  FILE NO. 28-1235
PAGE 193 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
SAUL CTRS INC                  COM            804395101        124,107       5,403       X     28-5284      5403
                                                                25,267       1,100       X   X 28-5284      1100
SCANA CORP NEW                 COM            80589M102         98,261       3,181       X     28-5284      3181
                                                               210,021       6,799       X   X 28-5284      6799
                                                                 1,637          53       X     28-11135       53
SCHEIN HENRY INC               COM            806407102         78,980       1,975       X     28-5284      1975
                                                                    80           2       X     28-11135        2
                                                                27,193         680       X   X 28-4580       680
SCHERING PLOUGH CORP           COM            806605101     10,691,606     453,996       X     28-5284    443716             10280
                                                            11,350,959     481,994       X   X 28-5284    457038             24956
                                                             1,435,867      60,971       X     28-12474    59199              1772
                                                               223,654       9,497       X   X 28-12474     9497
                                                             1,026,474      43,587       X     28-11135    43587
                                                                63,585       2,700       X     28-4580      2700
                                                               164,850       7,000       X   X 28-4580      7000
SCHERING PLOUGH CORP           PFD CONV MAN07 806605705         48,415         230       X     28-5284       230
                                                                33,680         160       X   X 28-5284       160
SCHLUMBERGER LTD               COM            806857108     40,474,987     996,430       X     28-5284    934192       160   62078
                                                            39,629,847     975,624       X   X 28-5284    819332     23124  133168
                                                             5,008,852     123,310       X     28-12474   114639              8671
                                                             1,341,679      33,030       X   X 28-12474    29311       773    2946
                                                               458,437      11,286       X     28-11135    11286
                                                               915,087      22,528       X     28-4580     22408               120
                                                               312,490       7,693       X   X 28-4580      7411       282
SCHNITZER STL INDS             CL A           806882106          4,206         134       X   X 28-5284       134
SCHOOL SPECIALTY INC           COM            807863105          2,639         150       X     28-5284                         150
                                                                   334          19       X     28-11135       19
SCHWAB CHARLES CORP NEW        COM            808513105        979,817      63,214       X     28-5284     58714              4500
                                                               510,725      32,950       X   X 28-5284     31550              1400
                                                             1,204,056      77,681       X     28-12474    75411              2270
                                                               187,612      12,104       X   X 28-12474    12104
                                                                72,215       4,659       X     28-11135     4659
                                                                 5,735         370       X     28-4580       370
SCOTTS MIRACLE GRO CO          CL A           810186106         69,400       2,000       X   X 28-5284      2000
   COLUMN TOTAL                                            116,782,754







                                                                                                                  FILE NO. 28-1235
PAGE 194 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
SCRIPPS E W CO OHIO            CL A NEW       811054402         14,085      10,433       X   X 28-5284     10433
                                                                   257         190       X     28-12474      190
                                                                     8           6       X     28-11135        6
SCRIPPS NETWORKS INTERACT IN   CL A COM       811065101        324,144      14,400       X     28-5284      2200             12200
                                                               917,598      40,764       X   X 28-5284     34060              6704
                                                                67,417       2,995       X     28-12474     1515              1480
                                                                 6,303         280       X   X 28-12474      280
                                                                 3,849         171       X     28-11135      171
SEACOAST BKG CORP FLA          COM            811707306            630         208       X     28-5284       208
                                                                 8,354       2,757       X   X 28-5284      2657               100
SEACOR HOLDINGS INC            DBCV  2.875%12 811904AJ0        190,750       2,000       X     28-5284      2000
SEACOR HOLDINGS INC            COM            811904101          9,913         170       X     28-5284                         170
SEALED AIR CORP NEW            COM            81211K100        421,038      30,510       X     28-5284     29960               550
                                                               256,169      18,563       X   X 28-5284     16873              1690
                                                                 3,174         230       X     28-11135      230
SEARS HLDGS CORP               COM            812350106         81,958       1,793       X     28-5284      1610               183
                                                               152,580       3,338       X   X 28-5284      3261                77
                                                                   183           4       X     28-11135        4
SELECT SECTOR SPDR TR          SBI MATERIALS  81369Y100        233,960      10,534       X     28-5284     10534
                                                               348,075      15,672       X   X 28-5284     15672
                                                                21,433         965       X     28-4580       965
SELECT SECTOR SPDR TR          SBI HEALTHCARE 81369Y209        282,966      11,688       X     28-5284     11688
                                                               684,949      28,292       X   X 28-5284     28292
                                                                 4,842         200       X   X 28-4580       200
SELECT SECTOR SPDR TR          SBI CONS STPLS 81369Y308         47,876       2,269       X     28-5284      2269
                                                                 6,541         310       X   X 28-5284       310
                                                               141,539       6,708       X   X 28-4580      6708
SELECT SECTOR SPDR TR          SBI CONS DISCR 81369Y407      1,162,907      59,181       X     28-5284     59181
                                                               276,947      14,094       X   X 28-5284     14094
   COLUMN TOTAL                                              5,670,445







                                                                                                                  FILE NO. 28-1235
PAGE 195 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
SELECT SECTOR SPDR TR          SBI INT-ENERGY 81369Y506      8,167,903     192,367       X     28-5284    192192               175
                                                             3,183,226      74,970       X   X 28-5284     65648              9322
                                                               299,810       7,061       X     28-4580      7061
                                                                 8,492         200       X   X 28-4580       200
SELECT SECTOR SPDR TR          SBI INT-FINL   81369Y605      5,761,749     654,001       X     28-5284    633856             20145
                                                               941,146     106,827       X   X 28-5284     93917             12910
                                                                66,956       7,600       X     28-4580      7600
                                                                 7,048         800       X   X 28-4580       800
SELECT SECTOR SPDR TR          SBI INT-INDS   81369Y704        261,043      14,164       X     28-5284     14164
                                                               816,117      44,282       X   X 28-5284     44282
                                                                11,980         650       X   X 28-4580       650
SELECT SECTOR SPDR TR          SBI INT-TECH   81369Y803      4,232,098     270,941       X     28-5284    270941
                                                             4,945,604     316,620       X   X 28-5284    309737              6883
                                                               121,836       7,800       X     28-4580      7800
                                                               102,733       6,577       X   X 28-4580      6577
SELECT SECTOR SPDR TR          SBI INT-UTILS  81369Y886      5,007,953     196,006       X     28-5284    191406              4600
                                                             2,190,759      85,744       X   X 28-5284     75069             10675
                                                                38,325       1,500       X   X 28-4580      1500
SELECTICA INC                  COM            816288104      1,692,806   4,128,796       X   X 28-5284             4128796
SELECTIVE INS GROUP INC        COM            816300107        201,005      16,530       X     28-5284     16100               430
                                                               140,326      11,540       X   X 28-5284     11540
SEMTECH CORP                   COM            816850101         14,552       1,090       X     28-5284      1090
                                                                76,042       5,696       X   X 28-5284      5696
                                                               198,488      14,868       X     28-11135    14868
SEMPRA ENERGY                  COM            816851109        181,631       3,928       X     28-5284      3678               250
                                                               921,841      19,936       X   X 28-5284     18622              1314
                                                               106,260       2,298       X     28-11135     2298
                                                                11,606         251       X   X 28-4580       251
SEMITOOL INC                   COM            816909105            834         300       X   X 28-5284       300
SENIOR HSG PPTYS TR            SH BEN INT     81721M109          7,150         510       X     28-5284       510
                                                                 4,206         300       X   X 28-5284                         300
                                                               315,170      22,480       X   X 28-12474    22480
   COLUMN TOTAL                                             40,036,695







                                                                                                                  FILE NO. 28-1235
PAGE 196 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
SENSIENT TECHNOLOGIES CORP     COM            81725T100          1,058          45       X     28-5284        45
                                                                40,843       1,738       X     28-11135     1738
SEPRACOR INC                   COM            817315104          8,796         600       X     28-5284       600
SEQUENOM INC                   COM NEW        817337405          1,422         100       X   X 28-5284       100
SERVICE CORP INTL              COM            817565104            140          40       X     28-5284        40
                                                                 3,099         888       X   X 28-5284       888
SHANDA INTERACTIVE ENTMT LTD   SPONSORED ADR  81941Q203          3,953         100       X     28-5284       100
                                                               393,324       9,950       X   X 28-5284      9850               100
SHAW GROUP INC                 COM            820280105         89,083       3,250       X     28-5284      3150               100
                                                               152,126       5,550       X   X 28-5284      3300              2250
SHERWIN WILLIAMS CO            COM            824348106        251,015       4,830       X     28-5284      4310               520
                                                             2,513,685      48,368       X   X 28-5284     48368
                                                                 1,455          28       X     28-11135       28
                                                                88,349       1,700       X     28-4580      1700
                                                                51,970       1,000       X   X 28-4580      1000
SHINHAN FINANCIAL GROUP CO L   SPN ADR RESTRD 824596100            252           7       X     28-11135        7
SHIRE PLC                      SPONSORED ADR  82481R106        164,138       4,567       X     28-5284      3637               930
                                                                24,475         681       X   X 28-5284       406               275
                                                             1,441,014      40,095       X     28-12474    37772              2323
                                                               199,898       5,562       X   X 28-12474     5149               413
SHORE BANCSHARES INC           COM            825107105      2,177,366     129,992       X   X 28-5284    129992
SHUFFLE MASTER INC             COM            825549108            431         150       X     28-5284       150
SIEMENS A G                    SPONSORED ADR  826197501        133,936       2,351       X     28-5284      2351
                                                                29,966         526       X   X 28-5284       126               400
                                                                 1,139          20       X     28-11135       20
SIERRA BANCORP                 COM            82620P102          1,946         200       X   X 28-5284       200
SIGMA ALDRICH CORP             COM            826552101        417,655      11,052       X     28-5284     10872               180
                                                             1,347,214      35,650       X   X 28-5284     17125             18525
                                                                18,895         500       X   X 28-4580       500
   COLUMN TOTAL                                              9,558,643







                                                                                                                  FILE NO. 28-1235
PAGE 197 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
SILICON LABORATORIES INC       COM            826919102          5,280         200       X     28-5284       200
                                                                 2,455          93       X   X 28-5284        93
SILGAN HOLDINGS INC            COM            827048109         22,645         431       X     28-11135      431
SILICON STORAGE TECHNOLOGY I   COM            827057100      3,448,870   2,090,224       X   X 28-5284             2090224
SILICONWARE PRECISION INDS L   SPONSD ADR SPL 827084864             70          12       X   X 28-5284        12
SILVER STD RES INC             COM            82823L106         12,703         788       X   X 28-5284       788
SILVER WHEATON CORP            COM            828336107         23,456       2,850       X     28-5284      2850
                                                                43,619       5,300       X   X 28-5284      5300
SIMON PPTY GROUP INC NEW       COM            828806109        817,019      23,586       X     28-5284     18242              5344
                                                               626,534      18,087       X   X 28-5284     17320               767
                                                             1,779,145      51,361       X     28-12474    51361
                                                                88,263       2,548       X   X 28-12474     2548
                                                                19,468         562       X     28-4580       562
                                                                62,006       1,790       X   X 28-4580      1790
SIMON PPTY GROUP INC NEW       PFD CONV I 6%  828806802      7,191,000     225,000       X     28-11439   225000
SIMPSON MANUFACTURING CO INC   COM            829073105         10,181         565       X     28-5284       245               320
                                                               231,215      12,831       X     28-11135    12831
SIMS METAL MANAGEMENT LTD      SPONS ADR      829160100          6,759         567       X     28-5284       567
SINCLAIR BROADCAST GROUP INC   CL A           829226109        208,575     202,500       X     28-5284      2500            200000
                                                                   412         400       X   X 28-5284       300               100
SIRIUS SATELLITE RADIO INC     NOTE  3.250%10 82966UAD5      2,504,374       6,500       X     28-11439     6500
SIRF TECHNOLOGY HLDGS INC      COM            82967H101          1,380         600       X   X 28-5284       600
SIRIUS XM RADIO INC            COM            82967N108        944,597   2,698,848       X     28-5284   2698848
                                                                 2,069       5,910       X   X 28-5284      4910              1000
                                                                     6          18       X     28-4580        18
SIX FLAGS INC                  COM            83001P109            810       3,000       X     28-5284      3000
SKYLINE CORP                   COM            830830105          1,331          70       X     28-5284                          70
   COLUMN TOTAL                                             18,054,242







                                                                                                                  FILE NO. 28-1235
PAGE 198 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
SKYWEST INC                    COM            830879102          5,971         480       X     28-5284                         480
SKYWORKS SOLUTIONS INC         COM            83088M102          2,821         350       X   X 28-5284       280                70
                                                                50,464       6,261       X     28-11135     6261
SKILLSOFT PLC                  SPONSORED ADR  830928107          2,596         388       X     28-5284       388
SMART BALANCE INC              COM            83169Y108          1,208         200       X   X 28-5284                         200
SMITH & NEPHEW PLC             SPDN ADR NEW   83175M205            625          20       X     28-11135       20
SMITH A O                      COM            831865209          5,036         200       X     28-5284                         200
                                                                15,108         600       X   X 28-5284                         600
SMITH INTL INC                 COM            832110100      1,445,389      67,290       X     28-5284     66570               720
                                                             1,984,344      92,381       X   X 28-5284     78146      3150   11085
                                                                   215          10       X     28-12474       10
                                                                   580          27       X   X 28-12474       27
                                                                 1,418          66       X     28-11135       66
                                                                 6,444         300       X     28-4580       300
SMITHFIELD FOODS INC           COM            832248108          1,703         180       X     28-5284       180
                                                                    19           2       X   X 28-5284         2
SMUCKER J M CO                 COM NEW        832696405      1,894,919      50,843       X     28-5284     45561              5282
                                                             1,581,552      42,435       X   X 28-5284     36561        12    5862
                                                                74,540       2,000       X   X 28-4580      2000
SNAP ON INC                    COM            833034101         49,322       1,965       X     28-5284      1780               185
                                                                36,395       1,450       X   X 28-5284      1450
                                                                 1,280          51       X     28-11135       51
SOAPSTONE NETWORKS INC         COM            833570104        472,560     132,000       X   X 28-5284              132000
SOHU COM INC                   COM            83408W103          4,420         107       X     28-5284        27                80
                                                                58,164       1,408       X     28-11135     1408
SOLARFUN POWER HOLDINGS CO L   SPONSORED ADR  83415U108          4,190       1,000       X   X 28-5284      1000
SOLERA HOLDINGS INC            COM            83421A104        303,704      12,256       X   X 28-5284     12256
SOMAXON PHARMACEUTICALS INC    COM            834453102            350       1,000       X     28-5284      1000
   COLUMN TOTAL                                              8,005,337







                                                                                                                  FILE NO. 28-1235
PAGE 199 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
SONIC INNOVATIONS INC          COM            83545M109          1,070       1,000       X     28-5284      1000
SONIC CORP                     COM            835451105         51,854       5,175       X     28-5284      4680               495
                                                                 7,295         728       X   X 28-5284       728
                                                                40,180       4,010       X     28-12474     1740              2270
                                                                 4,309         430       X   X 28-12474      430
                                                                   481          48       X     28-11135       48
SONOCO PRODS CO                COM            835495102        247,900      11,816       X     28-5284     11816
                                                               289,377      13,793       X   X 28-5284     13193               600
                                                               136,160       6,490       X     28-12474     4940              1550
                                                                 6,294         300       X   X 28-12474      300
SONOSITE INC                   COM            83568G104            822          46       X   X 28-5284        46
SONY CORP                      ADR NEW        835699307         30,986       1,502       X     28-5284      1502
                                                               231,056      11,200       X   X 28-5284     10250               950
                                                                 2,929         142       X     28-11135      142
SOTHEBYS                       COM            835898107         16,200       1,800       X     28-5284      1800
                                                                33,300       3,700       X   X 28-5284      3700
                                                                 4,131         459       X     28-11135      459
SONUS NETWORKS INC             COM            835916107         39,250      25,000       X   X 28-5284     25000
SOURCE CAP INC                 COM            836144105         16,557         583       X     28-5284       583
SOUTH FINL GROUP INC           COM            837841105            638         580       X     28-5284                         580
                                                                    48          44       X     28-11135       44
SOUTH JERSEY INDS INC          COM            838518108      1,751,820      50,052       X     28-5284     50052
SOUTHCOAST FINANCIAL CORP      COM            84129R100         62,700      11,000       X   X 28-5284     11000
SOUTHERN CO                    COM            842587107     25,671,287     838,383       X     28-5284    790403       620   47360
                                                            15,728,422     513,665       X   X 28-5284    480856      4265   28544
                                                            13,568,579     443,128       X     28-12474   410177             32951
                                                             3,311,492     108,148       X   X 28-12474    96136      2449    9563
                                                               209,073       6,828       X     28-11135     6828
                                                               971,358      31,723       X     28-4580     31293               430
                                                               310,579      10,143       X   X 28-4580      6643              3500
   COLUMN TOTAL                                             62,746,147







                                                                                                                  FILE NO. 28-1235
PAGE 200 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
SOUTHERN COPPER CORP           COM            84265V105         68,635       3,940       X     28-5284      3240               700
                                                               339,690      19,500       X   X 28-5284     19500
SOUTHERN NATL BANCORP OF VA    COM            843395104         79,730      12,285       X     28-5284     12285
SOUTHERN UN CO NEW             COM            844030106        328,661      21,594       X     28-5284     21407               187
                                                               156,675      10,294       X   X 28-5284      5594              4700
SOUTHSIDE BANCSHARES INC       COM            84470P109         32,111       1,699       X     28-11135     1699
SOUTHWEST AIRLS CO             COM            844741108         32,777       5,178       X     28-5284      4313               865
                                                               332,844      52,582       X   X 28-5284     49032              3550
                                                                12,122       1,915       X   X 28-4580      1915
SOUTHWEST BANCORP INC OKLA     COM            844767103        134,575      14,347       X     28-11135    14347
SOUTHWEST GAS CORP             COM            844895102         76,632       3,637       X     28-5284      3277               360
                                                                84,280       4,000       X   X 28-5284                        4000
                                                                 4,214         200       X     28-4580       200
SOUTHWEST WTR CO               COM            845331107         28,836       6,706       X   X 28-5284      6706
SOUTHWESTERN ENERGY CO         COM            845467109        208,424       7,020       X     28-5284      6000              1020
                                                             1,248,999      42,068       X   X 28-5284     42068
                                                               332,676      11,205       X     28-11135    11205
                                                               712,560      24,000       X   X 28-4580     24000
SOVRAN SELF STORAGE INC        COM            84610H108         42,770       2,130       X     28-5284      2130
                                                                40,160       2,000       X   X 28-5284      2000
SPARTAN STORES INC             COM            846822104         31,652       2,054       X     28-11135     2054
SPECTRA ENERGY CORP            COM            847560109      1,423,120     100,645       X     28-5284     99260              1385
                                                             1,708,706     120,842       X   X 28-5284     99092             21750
                                                                   863          61       X     28-11135       61
                                                                12,726         900       X     28-4580       900
                                                                28,280       2,000       X   X 28-4580      2000
SPECTRUM CTL INC               COM            847615101          7,030       1,000       X     28-5284      1000
SPECTRUM PHARMACEUTICALS INC   COM            84763A108        409,861     234,206       X   X 28-5284              234206
SPHERIX INC                    COM            84842R106         91,170     101,300       X     28-5284    101300
   COLUMN TOTAL                                              8,010,779







                                                                                                                  FILE NO. 28-1235
PAGE 201 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
SPHERION CORP                  COM            848420105            749         360       X     28-5284                         360
SPIRIT AEROSYSTEMS HLDGS INC   COM CL A       848574109        498,500      50,000       X   X 28-5284     50000
SPRINT NEXTEL CORP             COM SER 1      852061100        241,760      67,720       X     28-5284     57412             10308
                                                               445,843     124,886       X   X 28-5284    116874      4026    3986
                                                                87,990      24,647       X     28-12474    24647
STAAR SURGICAL CO              COM PAR $0.01  852312305          5,155       5,155       X     28-5284      5155
STAMPS COM INC                 COM NEW        852857200      4,332,117     446,610       X   X 28-5284              446610
STANCORP FINL GROUP INC        COM            852891100          1,709          75       X     28-5284        75
                                                                 2,802         123       X     28-11135      123
STANDARD MICROSYSTEMS CORP     COM            853626109          3,720         200       X     28-5284                         200
                                                                20,051       1,078       X   X 28-5284      1078
                                                                   539          29       X     28-11135       29
STANDARD MTR PRODS INC         COM            853666105            248          90       X     28-5284                          90
STANDARD PAC CORP NEW          COM            85375C101            739         840       X     28-5284                         840
STANDARD REGISTER CO           COM            853887107            412          90       X     28-5284                          90
STANDEX INTL CORP              COM            854231107          1,012         110       X     28-5284                         110
STANLEY INC                    COM            854532108         17,113         674       X   X 28-5284       674
STANLEY WKS                    COM            854616109        140,533       4,826       X     28-5284      4826
                                                               298,480      10,250       X   X 28-5284     10250
STAPLES INC                    COM            855030102      1,098,100      60,635       X     28-5284     56431              4204
                                                             2,579,679     142,445       X   X 28-5284    141995       450
                                                               418,504      23,109       X     28-11135    23109
                                                                27,165       1,500       X     28-4580      1500
STAR GAS PARTNERS L P          UNIT LTD PARTN 85512C105            840         323       X   X 28-5284       323
   COLUMN TOTAL                                             10,223,760







                                                                                                                  FILE NO. 28-1235
PAGE 202 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
STARBUCKS CORP                 COM            855244109      1,083,281      97,505       X     28-5284     91791              5714
                                                               334,522      30,110       X   X 28-5284     10320             19790
                                                               230,488      20,746       X     28-12474    16026              4720
                                                                 9,888         890       X   X 28-12474      890
                                                                 1,633         147       X     28-11135      147
                                                                 9,466         852       X   X 28-4580                         852
STARTEK INC                    COM            85569C107            217          70       X     28-5284                          70
STARWOOD HOTELS&RESORTS WRLD   COM            85590A401         97,066       7,643       X     28-5284      6823               820
                                                                74,079       5,833       X   X 28-5284      1855              3978
                                                               113,348       8,925       X     28-12474     8925
                                                                 2,858         225       X   X 28-12474      225
                                                                 1,067          84       X     28-11135       84
STATE STR CORP                 COM            857477103     12,003,307     389,971       X     28-5284    360188       330   29453
                                                             6,108,168     198,446       X   X 28-5284    177090      2420   18936
                                                             8,060,174     261,864       X     28-12474   243052             18812
                                                             1,993,805      64,776       X   X 28-12474    56954      1508    6314
                                                               148,514       4,825       X     28-11135     4825
                                                               377,394      12,261       X     28-4580     12041               220
                                                               264,308       8,587       X   X 28-4580      8587
STATOILHYDRO ASA               SPONSORED ADR  85771P102         28,113       1,612       X     28-5284      1612
                                                                63,656       3,650       X   X 28-5284      3650
                                                               268,314      15,385       X     28-11135    15385
                                                                 6,226         357       X   X 28-4580       357
STEAK N SHAKE CO               COM            857873103          1,363         180       X     28-5284                         180
                                                                84,345      11,142       X     28-11135    11142
STEEL DYNAMICS INC             COM            858119100         27,311       3,100       X     28-5284      2880               220
                                                                59,908       6,800       X   X 28-5284      6800
STEELCASE INC                  CL A           858155203          3,407         680       X     28-5284                         680
STEIN MART INC                 COM            858375108            462         160       X     28-5284                         160
STELLARONE CORP                COM            85856G100         36,361       3,053       X     28-5284      3053
STERLING BANCSHARES INC        COM            858907108          3,466         530       X     28-5284                         530
                                                                34,446       5,267       X     28-11135     5267
   COLUMN TOTAL                                             31,530,961







                                                                                                                  FILE NO. 28-1235
PAGE 203 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
STERICYCLE INC                 COM            858912108        210,823       4,417       X     28-5284      4417
                                                               428,234       8,972       X   X 28-5284      4472              4500
STERIS CORP                    COM            859152100            838          36       X     28-5284        36
                                                                27,936       1,200       X   X 28-5284      1200
                                                               135,839       5,835       X     28-11135     5835
STEREOTAXIS INC                COM            85916J102            798         200       X     28-5284       200
STERLING CONSTRUCTION CO INC   COM            859241101          9,812         550       X     28-5284       550
                                                                   963          54       X     28-11135       54
STEWART INFORMATION SVCS COR   COM            860372101          3,120         160       X     28-5284                         160
STIFEL FINL CORP               COM            860630102            953          22       X   X 28-5284        22
STMICROELECTRONICS N V         NY REGISTRY    861012102         57,263      11,545       X     28-5284     11545
                                                                 8,110       1,635       X   X 28-5284      1635
                                                               151,900      30,625       X     28-12474    26535              4090
                                                                 3,869         780       X   X 28-12474      780
STONE ENERGY CORP              COM            861642106          1,056         317       X     28-5284        27               290
STRATASYS INC                  COM            862685104         16,540       2,000       X     28-5284      2000
                                                                24,810       3,000       X   X 28-5284      3000
STRATEGIC DIAGNOSTICS INC      COM            862700101            367         340       X   X 28-5284       340
STRATEGIC HOTELS & RESORTS I   COM            86272T106         24,678      35,765       X     28-12474    35765
                                                                   621         900       X   X 28-12474      900
STRATTEC SEC CORP              COM            863111100         35,362       4,240       X   X 28-5284      4240
STRAYER ED INC                 COM            863236105          5,756          32       X     28-5284        12                20
STRYKER CORP                   COM            863667101      8,958,511     263,176       X     28-5284    260432              2744
                                                            11,466,919     336,866       X   X 28-5284    318918      1305   16643
                                                               232,493       6,830       X     28-12474     4580              2250
                                                                14,637         430       X   X 28-12474      430
                                                               106,681       3,134       X     28-11135     3134
                                                                45,954       1,350       X     28-4580      1350
                                                               141,062       4,144       X   X 28-4580      3820               324
   COLUMN TOTAL                                             22,115,905







                                                                                                                  FILE NO. 28-1235
PAGE 204 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
STURM RUGER & CO INC           COM            864159108          6,782         550       X     28-5284       400               150
SUBURBAN PROPANE PARTNERS L    UNIT LTD PARTN 864482104         23,764         650       X     28-5284       650
                                                                32,173         880       X   X 28-5284       880
SUN COMMUNITIES INC            COM            866674104          5,915         500       X     28-5284       500
                                                                 5,915         500       X   X 28-5284       500
SUN LIFE FINL INC              COM            866796105        160,008       8,959       X     28-5284      8959
                                                                63,046       3,530       X   X 28-5284      2227      1303
SUN MICROSYSTEMS INC           COM NEW        866810203         59,490       8,127       X     28-5284      5707              2420
                                                                45,216       6,177       X   X 28-5284      4159      2000      18
SUN HYDRAULICS CORP            COM            866942105        194,138      13,288       X     28-11135    13288
SUNCOR ENERGY INC              COM            867229106        334,372      15,055       X     28-5284     13138              1917
                                                               523,801      23,584       X   X 28-5284     23284               300
SUNOCO LOGISTICS PRTNRS L P    COM UNITS      86764L108         58,016       1,125       X     28-5284      1125
                                                               675,567      13,100       X   X 28-5284      9700      2500     900
SUNOCO INC                     COM            86764P109        360,922      13,630       X     28-5284     13030               600
                                                               417,192      15,755       X   X 28-5284     14755              1000
                                                                    53           2       X     28-12474        2
                                                                 2,648         100       X     28-4580       100
SUNPOWER CORP                  COM CL A       867652109          5,802         244       X     28-5284       244
                                                                48,749       2,050       X   X 28-5284       550              1500
                                                                11,034         464       X     28-11135      464
SUNPOWER CORP                  COM CL B       867652307          3,247         164       X     28-5284       164
                                                               276,804      13,980       X   X 28-5284      7505              6475
SUNSTONE HOTEL INVS INC NEW    COM            867892101          2,746       1,044       X     28-5284      1044
                                                                76,346      29,029       X     28-12474    29029
                                                                 1,783         678       X   X 28-12474      678
   COLUMN TOTAL                                              3,395,529







                                                                                                                  FILE NO. 28-1235
PAGE 205 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
SUNTRUST BKS INC               COM            867914103        450,839      38,402       X     28-5284     34159              4243
                                                             1,251,507     106,602       X   X 28-5284     97777       200    8625
                                                                78,118       6,654       X     28-11135     6654
                                                                 1,174         100       X     28-4580       100
SUNTECH PWR HLDGS CO LTD       ADR            86800C104         43,311       3,705       X   X 28-5284      2205              1500
SUPERIOR ENERGY SVCS INC       COM            868157108        268,486      20,829       X     28-11135    20829
SUPERIOR WELL SVCS INC         COM            86837X105          2,031         396       X   X 28-5284       396
SUPERTEX INC                   COM            868532102          2,772         120       X     28-5284                         120
SUPERVALU INC                  COM            868536103         59,776       4,186       X     28-5284      4186
                                                                14,737       1,032       X   X 28-5284       402               630
                                                                 3,027         212       X     28-11135      212
SURMODICS INC                  COM            868873100         38,873       2,130       X     28-5284      2000               130
                                                               115,705       6,340       X   X 28-5284      1650              4690
SUSQUEHANNA BANCSHARES INC P   COM            869099101        631,305      67,664       X     28-5284     66500              1164
                                                               118,584      12,710       X   X 28-5284      9352              3358
                                                                18,007       1,930       X   X 28-4580      1930
SUSSEX BANCORP                 COM            869245100         39,938      10,650       X   X 28-5284     10650
SWIFT ENERGY CO                COM            870738101          1,898         260       X     28-5284                         260
                                                                   475          65       X     28-11135       65
SWISS HELVETIA FD INC          COM            870875101        112,236      12,625       X     28-5284     12625
                                                                96,448      10,849       X   X 28-5284     10849
SYBASE INC                     NOTE  1.750% 2 871130AB6        253,500       2,000       X     28-5284      2000
SYBASE INC                     COM            871130100          1,878          62       X   X 28-5284        62
SYKES ENTERPRISES INC          COM            871237103          2,860         172       X   X 28-5284       172
                                                                36,204       2,177       X     28-11135     2177
SYMANTEC CORP                  NOTE  1.000% 6 871503AF5        391,500       4,000       X     28-5284      4000
   COLUMN TOTAL                                              4,035,189







                                                                                                                  FILE NO. 28-1235
PAGE 206 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
SYMANTEC CORP                  COM            871503108      1,466,421      98,154       X     28-5284     93554              4600
                                                               567,466      37,983       X   X 28-5284     33633              4350
                                                             1,636,363     109,529       X     28-12474   105282              4247
                                                               242,880      16,257       X   X 28-12474    16257
SYMMETRICOM INC                COM            871543104            945         270       X     28-5284                         270
SYMMETRY MED INC               COM            871546206            631         100       X   X 28-5284       100
SYNGENTA AG                    SPONSORED ADR  87160A100          8,022         200       X     28-5284       200
                                                                89,526       2,232       X   X 28-5284       400              1832
                                                                13,477         336       X   X 28-4580       336
SYNOVUS FINL CORP              COM            87161C105        221,244      68,075       X     28-5284     59075              9000
                                                               134,105      41,263       X   X 28-5284     35463      5800
SYNTEL INC                     COM            87162H103          2,264         110       X   X 28-5284       110
                                                                 1,852          90       X     28-11135       90
SYNNEX CORP                    COM            87162W100         36,468       1,854       X     28-11135     1854
SYNIVERSE HLDGS INC            COM            87163F106          1,907         121       X   X 28-5284       121
                                                                91,723       5,820       X     28-11135     5820
SYSCO CORP                     COM            871829107     12,520,916     549,163       X     28-5284    543238       300    5625
                                                             4,389,798     192,535       X   X 28-5284    153354       300   38881
                                                               357,937      15,699       X     28-12474    14468              1231
                                                               129,504       5,680       X   X 28-12474     5336               344
                                                                86,822       3,808       X     28-11135     3808
                                                                23,849       1,046       X     28-4580      1046
                                                               471,960      20,700       X   X 28-4580     20700
SYSTEMAX INC                   COM            871851101        129,200      10,000       X     28-5284     10000
TCF FINL CORP                  COM            872275102         87,024       7,400       X     28-5284      7000               400
                                                               474,763      40,371       X   X 28-5284      5802             34569
TC PIPELINES LP                UT COM LTD PRT 87233Q108        119,000       4,000       X     28-5284      4000
                                                                 5,950         200       X   X 28-5284       200
TDK CORP                       AMERN DEP SH   872351408          7,002         185       X     28-5284       185
                                                                10,749         284       X   X 28-5284       284
   COLUMN TOTAL                                             23,329,768







                                                                                                                  FILE NO. 28-1235
PAGE 207 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
TD AMERITRADE HLDG CORP        COM            87236Y108          1,188          86       X   X 28-5284        86
                                                                   621          45       X     28-11135       45
TECO ENERGY INC                COM            872375100        151,105      13,552       X     28-5284     13552
                                                               539,337      48,371       X   X 28-5284     46371              2000
TEL OFFSHORE TR                UNIT BEN INT   872382106          1,988         400       X   X 28-5284       400
TEPPCO PARTNERS L P            UT LTD PARTNER 872384102        276,896      12,225       X     28-5284     12225
                                                               402,038      17,750       X   X 28-5284     17750
TGC INDS INC                   COM NEW        872417308        176,253      80,481       X     28-5284     80481
THQ INC                        COM NEW        872443403          2,000         658       X     28-5284       111               547
TJX COS INC NEW                COM            872540109      1,612,064      62,873       X     28-5284     61073              1800
                                                             1,114,289      43,459       X   X 28-5284     41176      2283
                                                                 8,179         319       X     28-11135      319
                                                                33,332       1,300       X     28-4580      1300
                                                                64,100       2,500       X   X 28-4580      2500
TLC VISION CORP                COM            872549100         29,173     265,206       X   X 28-5284              265206
TVI CORP NEW                   COM            872916101          2,000      20,000       X     28-5284     20000
                                                                   600       6,000       X   X 28-5284      6000
TNS INC                        COM            872960109            573          70       X   X 28-5284        70
                                                               168,017      20,540       X     28-11135    20540
TTM TECHNOLOGIES  INC          COM            87305R109        144,983      24,997       X     28-11135    24997
TAIWAN GREATER CHINA FD        SH BEN INT     874037104            669         175       X     28-5284       175
TAIWAN SEMICONDUCTOR MFG LTD   SPONSORED ADR  874039100         63,527       7,098       X     28-5284      7098
                                                                10,937       1,222       X   X 28-5284      1222
                                                                 1,557         174       X     28-11135      174
TAKE-TWO INTERACTIVE SOFTWAR   COM            874054109          5,887         705       X     28-5284        75               630
TALBOTS INC                    COM            874161102          2,931         835       X     28-5284       835
                                                                   702         200       X   X 28-5284       200
TALEO CORP                     CL A           87424N104          1,724         146       X     28-5284       146
   COLUMN TOTAL                                              4,816,670







                                                                                                                  FILE NO. 28-1235
PAGE 208 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
TALISMAN ENERGY INC            COM            87425E103        308,721      29,402       X     28-11135    29402
TANGER FACTORY OUTLET CTRS I   COM            875465106         29,471         955       X     28-5284       955
                                                                63,201       2,048       X   X 28-5284      2048
                                                               372,172      12,060       X     28-12474    12060
                                                                 9,567         310       X   X 28-12474      310
TANGER PPTYS LTD PARTNERSHIP   NOTE  3.750% 8 875484AE7      3,952,000       4,000       X     28-11439     4000
TARGET CORP                    COM            87612E106     88,444,064   2,571,796       X     28-5284   2555607             16189
                                                            10,640,747     309,414       X   X 28-5284    239634     27150   42630
                                                                91,305       2,655       X     28-12474     1165              1490
                                                                 9,629         280       X   X 28-12474      280
                                                                   894          26       X     28-11135       26
                                                                87,970       2,558       X     28-4580      2558
                                                               177,109       5,150       X   X 28-4580      5150
TASER INTL INC                 COM            87651B104         14,040       3,000       X     28-5284      3000
TASEKO MINES LTD               COM            876511106          1,250       1,000       X     28-5284      1000
                                                                   625         500       X   X 28-5284       500
TASTY BAKING CO                COM            876553306          4,804       1,125       X   X 28-5284       750               375
TAUBMAN CTRS INC               COM            876664103         17,040       1,000       X   X 28-5284      1000
                                                               338,585      19,870       X     28-12474    19870
                                                                 8,520         500       X   X 28-12474      500
TECH DATA CORP                 COM            878237106          1,241          57       X     28-5284        57
TECHNE CORP                    COM            878377100        144,216       2,636       X     28-5284      2636
                                                             1,640,917      29,993       X   X 28-5284     16643             13350
                                                                 7,003         128       X     28-11135      128
TECHNITROL INC                 COM            878555101            564         330       X     28-5284                         330
                                                                 3,078       1,800       X   X 28-5284                        1800
TECHNOLOGY SOLUTIONS CO        COM NEW        87872T207        118,257      51,416       X   X 28-5284               51416
TECK COMINCO LTD               CL B           878742204         12,338       2,223       X     28-5284      2150                73
                                                                14,025       2,527       X   X 28-5284      2232               295
   COLUMN TOTAL                                            106,513,353







                                                                                                                  FILE NO. 28-1235
PAGE 209 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
TEJON RANCH CO DEL             COM            879080109         51,675       2,500       X   X 28-5284                2500
TEKELEC                        COM            879101103          2,024         153       X   X 28-5284       153
                                                                   886          67       X     28-11135       67
TELE NORTE LESTE PART S A      SPON ADR PFD   879246106            830          60       X     28-5284        60
                                                                 3,045         220       X   X 28-5284       220
                                                                   401          29       X     28-11135       29
TELECOM ITALIA S P A NEW       SPON ADR ORD   87927Y102         19,134       1,496       X     28-5284      1496
                                                                25,401       1,986       X   X 28-5284      1986
TELECOM ITALIA S P A NEW       SPON ADR SVGS  87927Y201          1,798         178       X     28-5284       178
TELECOM ARGENTINA S A          SPON ADR REP B 879273209          1,860         240       X     28-5284       240
TELECOM CORP NEW ZEALAND LTD   SPONSORED ADR  879278208          3,301         507       X     28-5284       507
                                                                 4,069         625       X   X 28-5284       625
TELECOMMUNICATION SYS INC      CL A           87929J103         48,509       5,290       X   X 28-5284      5290
TELEDYNE TECHNOLOGIES INC      COM            879360105          8,724         327       X     28-5284        27               300
                                                                   400          15       X   X 28-5284        15
                                                                14,914         559       X     28-11135      559
TELEFLEX INC                   COM            879369106      1,512,939      38,704       X     28-5284     38704
                                                               564,851      14,450       X   X 28-5284     14450
                                                               162,614       4,160       X     28-12474     4160
                                                                 2,541          65       X     28-11135       65
TELEFONICA S A                 SPONSORED ADR  879382208        134,443       2,255       X     28-5284      2255
                                                               130,031       2,181       X   X 28-5284      2181
                                                               315,628       5,294       X     28-11135     5294
TELEFONOS DE MEXICO S A B      SPON ADR A SHS 879403707         31,650       2,096       X     28-5284      2096
TELEFONOS DE MEXICO S A B      SPON ADR ORD L 879403780        101,731       6,764       X     28-5284      6764
                                                                81,742       5,435       X   X 28-5284      2535              2900
                                                                 2,136         142       X     28-11135      142
TELEPHONE & DATA SYS INC       SPL COM        879433860          4,730         200       X     28-5284       200
   COLUMN TOTAL                                              3,232,007







                                                                                                                  FILE NO. 28-1235
PAGE 210 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
TELEMIG CELULAR PART S A       SPON ADR PFD   87944E105             71           2       X     28-5284         2
                                                                   249           7       X   X 28-5284         7
TELLABS INC                    COM            879664100         24,008       5,242       X     28-5284       500              4742
                                                                   916         200       X   X 28-5284       200
TELMEX INTERNACIONAL SAB DE    SPONS ADR SR L 879690105         52,856       5,764       X     28-5284      5764
                                                                59,009       6,435       X   X 28-5284      3335              3100
                                                                 1,302         142       X     28-11135      142
TELMEX INTERNACIONAL SAB DE    SPON ADR SR A  879690204         18,885       2,096       X     28-5284      2096
TEMPLE INLAND INC              COM            879868107         11,277       2,100       X     28-5284       880              1220
TEMPLETON DRAGON FD INC        COM            88018T101         23,020       1,294       X     28-5284      1294
                                                               110,298       6,200       X   X 28-5284      6200
TEMPLETON EMERGING MKTS FD I   COM            880191101          3,088         320       X     28-5284       320
TEMPLETON EMERG MKTS INCOME    COM            880192109         55,358       6,050       X     28-5284      6050
                                                                31,668       3,461       X   X 28-5284                        3461
TEMPLETON GLOBAL INCOME FD     COM            880198106        108,419      14,592       X     28-5284     14592
                                                                18,575       2,500       X   X 28-5284      2500
TENARIS S A                    SPONSORED ADR  88031M109          5,466         271       X     28-5284       271
TENET HEALTHCARE CORP          COM            88033G100          5,754       4,960       X     28-5284      4960
TENNECO INC                    COM            880349105            163         100       X     28-5284       100
                                                                     7           4       X   X 28-5284         4
                                                                    33          20       X     28-4580        20
TERADATA CORP DEL              COM            88076W103          7,445         459       X     28-5284       459
                                                                22,870       1,410       X   X 28-5284      1274               136
TERADYNE INC                   COM            880770102         18,760       4,283       X     28-5284      4283
                                                                17,555       4,008       X   X 28-5284      4008
   COLUMN TOTAL                                                597,052







                                                                                                                  FILE NO. 28-1235
PAGE 211 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
TEREX CORP NEW                 COM            880779103        100,918      10,910       X     28-5284     10910
                                                                92,038       9,950       X   X 28-5284      9950
                                                                   527          57       X     28-11135       57
TERNIUM SA                     SPON ADR       880890108          1,384         202       X   X 28-5284       202
TERRA INDS INC                 COM            880915103          7,107         253       X     28-5284       173                80
                                                                   590          21       X   X 28-5284        21
TERRA NITROGEN CO L P          COM UNIT       881005201        221,650       1,550       X     28-5284      1550
                                                                85,800         600       X   X 28-5284       600
TESORO CORP                    COM            881609101        202,724      15,050       X     28-5284     15050
                                                               349,587      25,953       X   X 28-5284     24753      1000     200
                                                                10,103         750       X     28-4580       750
TETRA TECHNOLOGIES INC DEL     COM            88162F105          1,963         604       X     28-5284                         604
TETRA TECH INC NEW             COM            88162G103         25,475       1,250       X     28-5284       750               500
                                                                10,190         500       X   X 28-5284       500
TEVA PHARMACEUTICAL INDS LTD   ADR            881624209      8,413,493     186,759       X     28-5284    180058              6701
                                                            14,127,230     313,590       X   X 28-5284    295395      1695   16500
                                                               214,889       4,770       X     28-11135     4770
                                                               112,625       2,500       X     28-4580      2500
                                                                88,298       1,960       X   X 28-4580      1960
TESSERA TECHNOLOGIES INC       COM            88164L100             94           7       X   X 28-5284         7
                                                                   575          43       X     28-11135       43
TEVA PHARMACEUTICAL FIN II L   DBCV  0.250% 2 88164RAB3        131,000       1,000       X     28-5284      1000
TEVA PHARMACEUTICAL FIN CO B   NOTE  1.750% 2 88165FAA0        217,000       2,000       X     28-5284      2000
TEXAS INDS INC                 COM            882491103          6,000         240       X     28-5284                         240
                                                               175,000       7,000       X   X 28-5284      7000
   COLUMN TOTAL                                             24,596,260







                                                                                                                  FILE NO. 28-1235
PAGE 212 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
TEXAS INSTRS INC               COM            882508104      6,060,194     367,062       X     28-5284    345172             21890
                                                             5,206,247     315,339       X   X 28-5284    291185       800   23354
                                                               172,711      10,461       X     28-12474     7921              2540
                                                                 7,925         480       X   X 28-12474      480
                                                               290,213      17,578       X     28-11135    17578
                                                                16,312         988       X     28-4580       988
                                                                27,984       1,695       X   X 28-4580      1695
TEXAS PAC LD TR                SUB CTF PROP I 882610108         70,173       2,700       X     28-5284      2700
TEXAS ROADHOUSE INC            CL A           882681109         80,529       8,450       X     28-5284      8450
TEXTRON INC                    COM            883203101         93,832      16,347       X     28-5284     15767               580
                                                                87,030      15,162       X   X 28-5284     14862               300
                                                                   126          22       X     28-12474       22
                                                                46,528       8,106       X     28-11135     8106
                                                                 6,888       1,200       X     28-4580      1200
THERAGENICS CORP               COM            883375107            366         300       X     28-5284                         300
THERMO FISHER SCIENTIFIC INC   COM            883556102        717,217      20,107       X     28-5284      9387             10720
                                                             1,240,496      34,777       X   X 28-5284     12472             22305
                                                               783,420      21,963       X     28-11135    21963
THOMAS & BETTS CORP            COM            884315102        176,241       7,044       X     28-5284      7044
                                                               145,391       5,811       X   X 28-5284      4949               862
THOMSON                        SPONSORED ADR  885118109            599         658       X     28-5284       658
                                                                 4,045       4,445       X   X 28-5284      4445
THOMSON REUTERS PLC            SPONSORED ADR  885141101          1,337          10       X     28-5284        10
                                                                10,162          76       X   X 28-5284        76
THOR INDS INC                  COM            885160101         15,308         980       X     28-5284       980
                                                                15,620       1,000       X   X 28-5284      1000
THORATEC CORP                  COM NEW        885175307          2,441          95       X     28-5284        95
                                                                 2,569         100       X   X 28-5284       100
   COLUMN TOTAL                                             15,281,904







                                                                                                                  FILE NO. 28-1235
PAGE 213 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
3COM CORP                      COM            885535104          2,503         810       X     28-5284       810
                                                                 1,329         430       X   X 28-5284                         430
                                                               261,689      84,689       X     28-11135    84689
3-D SYS CORP DEL               COM NEW        88554D205        222,432      33,753       X     28-11135    33753
3M CO                          COM            88579Y101     65,358,879   1,314,539       X     28-5284   1262842       290   51407
                                                            72,923,031   1,466,674       X   X 28-5284   1336334      4725  125615
                                                                    50           1       X     28-12474        1
                                                                42,560         856       X     28-11135      856
                                                             2,293,136      46,121       X     28-4580     46121
                                                             2,320,432      46,670       X   X 28-4580     43295              3375
TIBCO SOFTWARE INC             COM            88632Q103          1,673         285       X     28-5284       285
                                                                22,306       3,800       X   X 28-5284      3800
TICKETMASTER ENTMT INC         COM            88633P302            133          36       X     28-5284        36
                                                                   435         118       X   X 28-5284       118
TIDEWATER INC                  COM            886423102        180,081       4,850       X     28-5284      4630               220
                                                                59,816       1,611       X   X 28-5284      1611
                                                               364,988       9,830       X     28-12474     8340              1490
                                                                10,396         280       X   X 28-12474      280
TIFFANY & CO NEW               COM            886547108        278,685      12,926       X     28-5284     10876              2050
                                                               495,664      22,990       X   X 28-5284     10610             12380
                                                                 1,984          92       X     28-11135       92
TIGERLOGIC CORPORATION         COM            8867EQ101          3,780       2,000       X   X 28-5284      2000
TIM HORTONS INC                COM            88706M103         48,076       1,895       X     28-5284      1895
                                                                52,896       2,085       X   X 28-5284      1273               812
TIM PARTICIPACOES S A          SPONS ADR PFD  88706P106            137          11       X     28-5284        11
                                                                   522          42       X   X 28-5284        42
TIMBERLAND CO                  CL A           887100105          7,463         625       X     28-5284       625
   COLUMN TOTAL                                            144,955,076







                                                                                                                  FILE NO. 28-1235
PAGE 214 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
TIME WARNER CABLE INC          COM            88732J207        518,196      20,895       X     28-5284     19592              1303
                                                               387,475      15,624       X   X 28-5284     13030       161    2433
                                                               109,219       4,404       X     28-12474     4404
                                                                   719          29       X     28-11135       29
                                                                   818          33       X     28-4580        33
                                                                 3,298         133       X   X 28-4580       133
TIMKEN CO                      COM            887389104          5,026         360       X     28-5284                         360
TITAN MACHY INC                COM            88830R101          4,490         500       X   X 28-5284       500
TITANIUM METALS CORP           COM NEW        888339207        256,565      46,904       X     28-5284     46904
                                                                42,119       7,700       X   X 28-5284      7700
TIVO INC                       COM            888706108         14,080       2,000       X   X 28-5284      2000
TOLL BROTHERS INC              COM            889478103        583,263      32,118       X     28-5284     19753             12365
                                                                23,608       1,300       X   X 28-5284      1300
                                                                 6,374         351       X     28-4580       351
TOLLGRADE COMMUNICATIONS INC   COM            889542106         38,164       6,580       X     28-5284      6500                80
                                                               782,652     134,940       X   X 28-5284              134940
TOMKINS PLC                    SPONSORED ADR  890030208          1,233         180       X     28-5284       180
                                                                 6,165         900       X   X 28-5284       900
TOMPKINS FINANCIAL CORPORATI   COM            890110109         11,438         266       X     28-5284                         266
TOOTSIE ROLL INDS INC          COM            890516107          5,582         257       X     28-5284       257
                                                               104,821       4,826       X   X 28-5284       826              4000
TORCHMARK CORP                 COM            891027104        650,294      24,792       X     28-5284      8300             16492
                                                             1,030,734      39,296       X   X 28-5284     12196             27100
TORO CO                        COM            891092108         80,036       3,310       X     28-5284      3000               310
                                                               419,281      17,340       X   X 28-5284      6700             10640
                                                               101,000       4,177       X     28-11135     4177
TORONTO DOMINION BK ONT        COM NEW        891160509      1,634,770      47,275       X     28-5284     47275
                                                                48,965       1,416       X   X 28-5284      1416
   COLUMN TOTAL                                              6,870,385







                                                                                                                  FILE NO. 28-1235
PAGE 215 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
TORTOISE ENERGY INFRSTRCTR C   COM            89147L100         11,939         574       X     28-5284       574
                                                               218,400      10,500       X   X 28-5284     10500
                                                                31,200       1,500       X   X 28-4580      1500
TORTOISE CAP RES CORP          COM            89147N304          6,165       1,031       X   X 28-5284      1031
TORTOISE NORTH AMRN ENRGY CO   COM            89147T103         12,400       1,000       X     28-5284      1000
TORTOISE ENERGY CAP CORP       COM            89147U100         15,790       1,000       X     28-5284      1000
TOTAL S A                      SPONSORED ADR  89151E109      2,583,401      52,658       X     28-5284     51042              1616
                                                             1,159,043      23,625       X   X 28-5284     16327              7298
                                                               419,954       8,560       X     28-11135     8560
                                                                62,306       1,270       X     28-4580      1270
TOWER GROUP INC                COM            891777104          4,926         200       X   X 28-5284       200
                                                                 1,872          76       X     28-11135       76
TOTAL SYS SVCS INC             COM            891906109        411,731      29,814       X     28-5284     29814
                                                                40,215       2,912       X   X 28-5284       106      2806
TRACK DATA CORP                COM NEW        891918203        100,500     130,520       X   X 28-5284              130520
TOWNEBANK PORTSMOUTH VA        COM            89214P109          8,165         500       X   X 28-5284                         500
TOYOTA MOTOR CORP              SP ADR REP2COM 892331307        216,803       3,425       X     28-5284      3325               100
                                                               185,596       2,932       X   X 28-5284      2687               245
                                                                 5,381          85       X     28-11135       85
TORREYPINES THERAPEUTICS INC   COM            89235K105         32,300     190,000       X   X 28-5284              190000
TRACTOR SUPPLY CO              COM            892356106          3,606         100       X     28-5284                         100
                                                                32,454         900       X     28-11135      900
TRANS WORLD ENTMT CORP         COM            89336Q100      1,585,929   2,643,215       X   X 28-5284             2643215
TRANSAMERICA INCOME SHS INC    COM            893506105        158,530       9,550       X   X 28-5284                        9550
TRANSATLANTIC HLDGS INC        COM            893521104         47,798       1,340       X     28-5284      1340
                                                                   250           7       X   X 28-5284         7
                                                                 1,605          45       X     28-11135       45
   COLUMN TOTAL                                              7,358,259







                                                                                                                  FILE NO. 28-1235
PAGE 216 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
TRANSCANADA CORP               COM            89353D107         61,490       2,600       X     28-5284      2600
                                                               189,200       8,000       X   X 28-5284      1500              6500
TRANSDIGM GROUP INC            COM            893641100        373,686      11,379       X   X 28-5284      9959              1420
TRANSOCEAN INC                 NOTE  1.625%12 893830AU3        367,500       4,000       X     28-5284      4000
TRANSWITCH CORP                COM            894065101        563,412   1,878,040       X   X 28-5284             1878040
TRAVELERS COMPANIES INC        COM            89417E109      3,435,259      84,529       X     28-5284     56479             28050
                                                             6,844,142     168,409       X   X 28-5284    159274              9135
                                                             2,353,788      57,918       X     28-12474    54550              3368
                                                               496,783      12,224       X   X 28-12474    11526               698
                                                               662,148      16,293       X     28-11135    16293
                                                                   569          14       X     28-4580        14
                                                               155,326       3,822       X   X 28-4580      3822
TRAVELCENTERS OF AMERICA LLC   COM            894174101         13,407       7,326       X   X 28-5284        14      7312
TREDEGAR CORP                  COM            894650100          2,939         180       X     28-5284                         180
TREE COM INC                   COM            894675107             14           3       X     28-5284         3
TREEHOUSE FOODS INC            COM            89469A104         36,678       1,274       X     28-11135     1274
TRI CONTL CORP                 COM            895436103         13,472       1,600       X     28-5284      1600
                                                                75,073       8,916       X   X 28-5284      8916
TRIAN ACQUISITION I CORP       COM            89582E108         27,930       3,000       X   X 28-5284      3000
TRIMAS CORP                    COM NEW        896215209        210,000     120,000       X   X 28-5284    120000
TRIMBLE NAVIGATION LTD         COM            896239100         33,738       2,208       X     28-5284      2208
                                                               567,652      37,150       X   X 28-5284     13300             23850
TRIMERIS INC                   COM            896263100             65          37       X     28-11135       37
TRINA SOLAR LIMITED            SPON ADR       89628E104          5,210         500       X   X 28-5284       500
TRINITY INDS INC               COM            896522109         10,602       1,160       X     28-5284       800               360
                                                                 2,285         250       X   X 28-5284       250
                                                                   530          58       X     28-11135       58
   COLUMN TOTAL                                             16,502,898







                                                                                                                  FILE NO. 28-1235
PAGE 217 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
TRIUMPH GROUP INC NEW          COM            896818101         17,190         450       X     28-5284       300               150
                                                                 7,640         200       X   X 28-5284       200
                                                                31,973         837       X     28-11135      837
TRUE RELIGION APPAREL INC      COM            89784N104          5,244         444       X   X 28-5284       444
                                                               122,682      10,388       X     28-11135    10388
TRUSTCO BK CORP N Y            COM            898349105          7,645       1,270       X     28-5284       710               560
TRUSTMARK CORP                 COM            898402102          1,066          58       X     28-11135       58
TUPPERWARE BRANDS CORP         COM            899896104         57,154       3,364       X     28-5284      3364
                                                                60,213       3,544       X   X 28-5284      2878               666
                                                                41,727       2,456       X     28-11135     2456
TURKCELL ILETISIM HIZMETLERI   SPON ADR NEW   900111204         24,580       2,000       X   X 28-5284      2000
21ST CENTY HLDG CO             COM            90136Q100        216,526      64,828       X   X 28-5284               64828
II VI INC                      COM            902104108         48,963       2,850       X     28-5284      2850
                                                               745,371      43,386       X   X 28-5284     32786     10600
TYLER TECHNOLOGIES INC         COM            902252105          1,170          80       X     28-4580        80
TYSON FOODS INC                CL A           902494103         15,954       1,699       X     28-5284      1114               585
                                                                33,335       3,550       X   X 28-5284      3550
UAL CORP                       COM NEW        902549807            694         155       X     28-5284       155
UCBH HOLDINGS INC              COM            90262T308          1,299         860       X     28-5284                         860
UDR INC                        COM            902653104         19,226       2,233       X     28-5284      1753               480
                                                                81,511       9,467       X   X 28-5284      9467
                                                               367,733      42,710       X     28-12474    42710
                                                                 9,290       1,079       X   X 28-12474     1079
UGI CORP NEW                   COM            902681105        260,891      11,050       X     28-5284      8050              3000
                                                               765,129      32,407       X   X 28-5284     30907              1500
UIL HLDG CORP                  COM            902748102          4,687         210       X     28-5284                         210
                                                                 7,433         333       X   X 28-5284       333
UMB FINL CORP                  COM            902788108          1,062          25       X   X 28-5284        25
   COLUMN TOTAL                                              2,957,388







                                                                                                                  FILE NO. 28-1235
PAGE 218 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
US BANCORP DEL                 COM NEW        902973304     15,784,454   1,080,387       X     28-5284   1003832       490   76065
                                                             6,999,607     479,097       X   X 28-5284    405765      6782   66550
                                                               220,947      15,123       X     28-12474    13859              1264
                                                                85,439       5,848       X   X 28-12474     5493               355
                                                               112,702       7,714       X     28-11135     7714
                                                                17,532       1,200       X     28-4580      1200
                                                                79,259       5,425       X   X 28-4580      5425
UQM TECHNOLOGIES INC           COM            903213106            492         300       X     28-5284       300
URS CORP NEW                   COM            903236107      3,663,449      90,657       X     28-5284     80257             10400
                                                               708,226      17,526       X   X 28-5284     16336      1190
                                                             9,521,606     235,625       X     28-12474   219569             16056
                                                             2,224,328      55,044       X   X 28-12474    49735      1176    4133
                                                                40,410       1,000       X     28-4580      1000
USANA HEALTH SCIENCES INC      COM            90328M107        172,172       7,700       X   X 28-5284                7700
USA TECHNOLOGIES INC           CONV PFD SER A 90328S203         33,000       4,000       X   X 28-5284                        4000
USA TECHNOLOGIES INC           COM NO PAR     90328S500          4,538       2,440       X     28-5284      2440
                                                                 2,684       1,443       X   X 28-5284      1383                60
U S G CORP                     COM NEW        903293405          5,708         750       X     28-5284       750
                                                                25,151       3,305       X   X 28-5284      1305              2000
USEC INC                       NOTE  3.000%10 90333EAC2     61,299,000   1,112,000       X   X 28-5284             1112000
USEC INC                       COM            90333E108          8,678       1,808       X     28-5284      1808
                                                                 4,800       1,000       X   X 28-5284      1000
U S AIRWAYS GROUP INC          COM            90341W108            380         150       X     28-5284       150
ULTA SALON COSMETCS & FRAG I   COM            90384S303        170,856      25,809       X     28-5284     25809
ULTRA CLEAN HLDGS INC          COM            90385V107            642         600       X   X 28-5284       600
ULTRALIFE CORP                 COM            903899102            541          70       X     28-11135       70
ULTRA PETROLEUM CORP           COM            903914109         66,253       1,846       X     28-5284      1846
                                                               695,261      19,372       X   X 28-5284      6972             12400
                                                                 7,716         215       X     28-11135      215
   COLUMN TOTAL                                            101,955,831







                                                                                                                  FILE NO. 28-1235
PAGE 219 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
ULTRATECH INC                  COM            904034105          2,373         190       X     28-5284                         190
UNDER ARMOUR INC               CL A           904311107         24,645       1,500       X     28-5284      1100               400
                                                                72,292       4,400       X   X 28-5284      4400
UNICA CORP                     COM            904583101        324,363      67,156       X   X 28-5284     67156
UNIFIRST CORP MASS             COM            904708104          2,784         100       X     28-5284                         100
                                                                28,926       1,039       X     28-11135     1039
UNILEVER PLC                   SPON ADR NEW   904767704        587,549      31,038       X     28-5284     25253              5785
                                                               575,586      30,406       X   X 28-5284     22206              8200
                                                                60,425       3,192       X     28-12474     2102              1090
                                                                 3,975         210       X   X 28-12474      210
                                                                 1,477          78       X     28-11135       78
                                                                24,325       1,285       X   X 28-4580      1285
UNILEVER N V                   N Y SHS NEW    904784709      5,336,492     272,270       X     28-5284    259878             12392
                                                             8,361,046     426,584       X   X 28-5284    405653      5352   15579
                                                               117,835       6,012       X     28-11135     6012
                                                                 8,232         420       X     28-4580       420
                                                                90,591       4,622       X   X 28-4580      4622
UNION BANKSHARES INC           COM            905400107         67,800       4,000       X   X 28-5284      4000
UNION PAC CORP                 COM            907818108     24,563,061     597,496       X     28-5284    551368       290   45838
                                                            19,058,678     463,602       X   X 28-5284    421851     13120   28631
                                                            10,595,445     257,734       X     28-12474   240567             17167
                                                             2,574,185      62,617       X   X 28-12474    55701      1340    5576
                                                               128,428       3,124       X     28-11135     3124
                                                               481,604      11,715       X     28-4580     11525               190
                                                               461,789      11,233       X   X 28-4580     10733       500
UNISOURCE ENERGY CORP          COM            909205106          8,175         290       X     28-5284                         290
UNISYS CORP                    COM            909214108          1,532       2,890       X     28-5284      2890
                                                                   398         750       X   X 28-5284       750
                                                                   384         725       X     28-11135      725
UNIT CORP                      COM            909218109         83,680       4,000       X     28-5284      4000
                                                                   565          27       X     28-11135       27
   COLUMN TOTAL                                             73,648,640







                                                                                                                  FILE NO. 28-1235
PAGE 220 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
UNITED AMERN HEALTHCARE CORP   COM            90934C105      1,371,982     920,793       X   X 28-5284              920793
UNITED CMNTY BKS BLAIRSVLE G   CAP STK        90984P105          1,198         288       X     28-11135      288
UNITED BANKSHARES INC WEST V   COM            909907107        133,386       7,737       X     28-5284      7407               330
                                                                53,789       3,120       X   X 28-5284      3120
UNITED BANCORP INC OHIO        COM            909911109         25,515       2,700       X     28-5284      2700
UNITED DOMINION REALTY TR IN   NOTE  4.000%12 910197AK8      1,541,578       2,000       X     28-11439     2000
UNITED DOMINION REALTY TR IN   NOTE  3.625%   910197AM4      1,109,154       1,500       X     28-11439     1500
UNITED MICROELECTRONICS CORP   SPON ADR NEW   910873405          3,582       1,416       X     28-5284      1416
                                                                   271         107       X   X 28-5284       107
UNITED NAT FOODS INC           COM            911163103          6,829         360       X     28-5284                         360
                                                               159,955       8,432       X     28-11135     8432
UNITED ONLINE INC              COM            911268100          4,973       1,115       X     28-5284      1115
                                                               113,784      25,512       X   X 28-5284     24000      1512
UNITED PARCEL SERVICE INC      CL B           911312106     51,111,032   1,038,420       X     28-5284   1019843             18577
                                                            26,427,842     536,933       X   X 28-5284    525210       625   11098
                                                                27,809         565       X     28-11135      565
                                                             1,857,809      37,745       X     28-4580     37745
                                                               100,852       2,049       X   X 28-4580      2049
UNITED STATES OIL FUND LP      UNITS          91232N108      2,609,300      89,821       X     28-5284     79821             10000
                                                                   145           5       X   X 28-5284         5
U STORE IT TR                  COM            91274F104         18,079       8,950       X     28-5284      8950
                                                                16,160       8,000       X   X 28-5284      8000
                                                                80,356      39,780       X     28-12474    39780
                                                                 2,020       1,000       X   X 28-12474     1000
UNITED STATES STL CORP NEW     COM            912909108        224,654      10,632       X     28-5284     10632
                                                               157,419       7,450       X   X 28-5284      7250               200
                                                                84,140       3,982       X     28-11135     3982
                                                                 5,283         250       X   X 28-4580       250
UNITED STATIONERS INC          COM            913004107          5,897         210       X     28-5284                         210
   COLUMN TOTAL                                             87,254,793







                                                                                                                  FILE NO. 28-1235
PAGE 221 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
UNITED TECHNOLOGIES CORP       COM            913017109     68,431,810   1,592,178       X     28-5284   1528057       210   63911
                                                            58,431,482   1,359,504       X   X 28-5284   1230389     10321  118794
                                                             8,532,819     198,530       X     28-12474   185485             13045
                                                             2,133,828      49,647       X   X 28-12474    44849       879    3919
                                                               617,923      14,377       X     28-11135    14377
                                                             1,124,916      26,173       X     28-4580     26033               140
                                                             1,346,306      31,324       X   X 28-4580     31182               142
UNITED THERAPEUTICS CORP DEL   COM            91307C102        128,876       1,950       X   X 28-5284      1950
                                                                86,314       1,306       X     28-11135     1306
UNITEDHEALTH GROUP INC         COM            91324P102      2,339,053     111,756       X     28-5284     86376             25380
                                                             1,098,051      52,463       X   X 28-5284     36313             16150
                                                               225,521      10,775       X     28-12474    10775
                                                               179,893       8,595       X     28-11135     8595
                                                               170,580       8,150       X     28-4580      8150
UNIVERSAL CORP VA              COM            913456109         29,920       1,000       X     28-5284      1000
                                                                34,408       1,150       X   X 28-5284      1000               150
UNIVERSAL DISPLAY CORP         COM            91347P105         14,672       1,600       X     28-5284       600              1000
UNIVERSAL ELECTRS INC          COM            913483103          1,720          95       X     28-5284        95
UNIVERSAL FST PRODS INC        COM            913543104          3,992         150       X     28-5284                         150
UNIVERSAL HEALTH RLTY INCM T   SH BEN INT     91359E105        138,784       4,748       X   X 28-5284      3398              1350
UNIVERSAL HLTH SVCS INC        CL B           913903100         25,611         668       X     28-5284       668
                                                                11,694         305       X   X 28-5284         5               300
                                                                   383          10       X     28-11135       10
UNUM GROUP                     COM            91529Y106        462,600      37,008       X     28-5284      4050             32958
                                                               111,763       8,941       X   X 28-5284      8064               877
                                                                71,125       5,690       X     28-11135     5690
URBAN OUTFITTERS INC           COM            917047102        404,765      24,726       X     28-5284     19176              5550
                                                               226,970      13,865       X   X 28-5284      9360              4505
                                                                72,355       4,420       X     28-12474     1910              2510
                                                                 7,694         470       X   X 28-12474      470
                                                               288,096      17,599       X     28-11135    17599
URSTADT BIDDLE PPTYS INS       COM            917286106          6,700         500       X   X 28-5284       500
   COLUMN TOTAL                                            146,760,624







                                                                                                                  FILE NO. 28-1235
PAGE 222 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
URSTADT BIDDLE PPTYS INS       CL A           917286205         23,485       1,750       X     28-5284      1750
                                                                26,840       2,000       X   X 28-5284      2000
VCA ANTECH INC                 COM            918194101         12,403         550       X     28-5284       550
                                                                93,583       4,150       X   X 28-5284      4150
V F CORP                       COM            918204108        780,123      13,660       X     28-5284     12800               860
                                                          1217,565,611  21,319,657       X   X 28-5284     12509  21306998     150
                                                               368,245       6,448       X     28-11135     6448
                                                            19,823,167     347,105       X   X 28-4580              347105
VIST FINANCIAL CORP            COM            918255100          3,500         500       X     28-5284       500
VALHI INC NEW                  COM            918905100          3,461         369       X     28-5284       369
VALENCE TECHNOLOGY INC         COM            918914102          4,260       2,000       X   X 28-5284      2000
VALEANT PHARMACEUTICALS INTL   COM            91911X104         20,459       1,150       X     28-5284      1150
VALERO ENERGY CORP NEW         COM            91913Y100        174,328       9,739       X     28-5284      7859              1880
                                                               732,593      40,927       X   X 28-5284     36177       900    3850
                                                               351,717      19,649       X     28-11135    19649
VALLEY NATL BANCORP            COM            919794107         73,379       5,932       X     28-5284      5752               180
VALMONT INDS INC               COM            920253101         15,063         300       X     28-5284       150               150
                                                                47,499         946       X   X 28-5284       946
VALSPAR CORP                   COM            920355104        208,946      10,463       X     28-5284     10463
                                                               836,224      41,874       X   X 28-5284     10589             31285
                                                                66,001       3,305       X     28-12474     3305
                                                                14,279         715       X     28-11135      715
VALUECLICK INC                 COM            92046N102          5,897         693       X     28-5284       693
                                                                 8,510       1,000       X   X 28-5284      1000
                                                                   119          14       X     28-11135       14
VAN KAMPEN MUN TR              SH BEN INT     920919107         21,326       1,944       X     28-5284      1944
VAN KAMPEN TR INSD MUNS        COM            920928108         41,053       3,365       X   X 28-5284      3365
VAN KAMPEN TR INVT GRADE N Y   COM            920931102         20,368       1,900       X   X 28-5284      1900
   COLUMN TOTAL                                          1,241,342,439







                                                                                                                  FILE NO. 28-1235
PAGE 223 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
VAN KAMPEN TR INVT GRADE N J   COM            920933108         49,450       4,152       X     28-5284      4152
VAN KAMPEN MUN OPPORTUNITY T   COM            920935103          4,388         395       X     28-5284       395
                                                                 6,666         600       X   X 28-5284       600
VAN KAMPEN BD FD               COM            920955101         16,950       1,000       X   X 28-5284                        1000
VAN KAMPEN SENIOR INCOME TR    COM            920961109         23,721       9,967       X     28-5284      9967
                                                                 8,711       3,660       X   X 28-5284      3660
VAN KAMPEN SELECT SECTOR MUN   COM            92112M103         57,654       6,406       X     28-5284      6406
VAN KAMPEN PA VALUE MUN INCO   COM            92112T108        475,722      44,460       X     28-5284     44460
                                                               182,189      17,027       X   X 28-5284     14319      2306     402
VAN KAMPEN DYNAMIC CR OPPORT   COM            921166104          3,320         500       X     28-5284       500
                                                                15,272       2,300       X   X 28-5284                        2300
VANGUARD SPECIALIZED PORTFOL   DIV APP ETF    921908844         14,413         409       X   X 28-5284       409
VANGUARD BD INDEX FD INC       LONG TERM BOND 921937793          7,422         100       X     28-5284       100
                                                                81,642       1,100       X   X 28-5284      1100
                                                                45,868         618       X     28-11135      618
VANGUARD BD INDEX FD INC       INTERMED TERM  921937819         13,255         173       X     28-5284       173
                                                                40,226         525       X   X 28-5284       525
VANGUARD BD INDEX FD INC       SHORT TRM BOND 921937827        516,140       6,550       X     28-5284      6550
                                                               374,300       4,750       X   X 28-5284      4750
                                                                93,063       1,181       X     28-11135     1181
VANGUARD BD INDEX FD INC       TOTAL BND MRKT 921937835      2,378,997      30,836       X     28-5284     30836
                                                               197,890       2,565       X   X 28-5284      2565
VANGUARD TAX-MANAGED FD        EUROPE PAC ETF 921943858        520,118      22,604       X     28-5284     22604
                                                               973,093      42,290       X   X 28-5284     42290
                                                                79,776       3,467       X   X 28-4580      3467
VANGUARD WORLD FDS             CONSUM DIS ETF 92204A108      1,921,289      63,809       X     28-5284     63809
                                                             2,081,805      69,140       X   X 28-5284     69140
                                                                52,090       1,730       X     28-4580      1730
   COLUMN TOTAL                                             10,235,430







                                                                                                                  FILE NO. 28-1235
PAGE 224 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
VANGUARD WORLD FDS             CONSUM STP ETF 92204A207      1,328,995      25,866       X     28-5284     25866
                                                             2,133,503      41,524       X   X 28-5284     41524
                                                                42,543         828       X     28-4580       828
VANGUARD WORLD FDS             ENERGY ETF     92204A306      1,886,235      31,312       X     28-5284     31312
                                                               270,719       4,494       X   X 28-5284      4308               186
                                                                23,192         385       X     28-4580       385
VANGUARD WORLD FDS             FINANCIALS ETF 92204A405      1,451,573      77,273       X     28-5284     76973               300
                                                             3,232,579     172,083       X   X 28-5284    171583               500
                                                                 3,757         200       X   X 28-4580       200
VANGUARD WORLD FDS             HEALTH CAR ETF 92204A504      1,429,656      34,080       X     28-5284     33526               554
                                                               237,898       5,671       X   X 28-5284      5671
VANGUARD WORLD FDS             INDUSTRIAL ETF 92204A603        922,006      27,238       X     28-5284     27238
                                                               871,096      25,734       X   X 28-5284     25614               120
VANGUARD WORLD FDS             INF TECH ETF   92204A702      3,042,357      86,357       X     28-5284     86357
                                                             5,803,156     164,722       X   X 28-5284    164722
VANGUARD WORLD FDS             MATERIALS ETF  92204A801      1,174,421      26,740       X     28-5284     24530              2210
                                                               439,288      10,002       X   X 28-5284     10002
                                                                25,386         578       X     28-4580       578
VANGUARD WORLD FDS             UTILITIES ETF  92204A876      1,323,897      24,904       X     28-5284     24769               135
                                                               423,898       7,974       X   X 28-5284      7974
                                                                 7,974         150       X   X 28-4580       150
VANGUARD WORLD FDS             TELCOMM ETF    92204A884        207,651       4,755       X     28-5284      4755
                                                               133,194       3,050       X   X 28-5284      3050
                                                                 5,895         135       X   X 28-4580       135
VANGUARD INTL EQUITY INDEX F   TT WRLD ST ETF 922042742         83,666       2,890       X   X 28-5284      2890
VANGUARD INTL EQUITY INDEX F   ALLWRLD EX US  922042775     27,536,285     979,242       X     28-5284    972788              6454
                                                            19,060,523     677,828       X   X 28-5284    621936        40   55852
                                                               798,833      28,408       X     28-4580     28408
                                                               115,292       4,100       X   X 28-4580      4100
   COLUMN TOTAL                                             74,015,468







                                                                                                                  FILE NO. 28-1235
PAGE 225 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
VANGUARD INTL EQUITY INDEX F   EMR MKT ETF    922042858     11,091,341     470,770       X     28-5284    457457             13313
                                                             5,593,992     237,436       X   X 28-5284    229880      2332    5224
                                                               637,298      27,050       X     28-11135    27050
                                                               195,100       8,281       X     28-4580      8281
                                                               105,784       4,490       X   X 28-4580      4490
VANGUARD INTL EQUITY INDEX F   PACIFIC ETF    922042866      2,742,446      72,918       X     28-5284     72253               665
                                                             1,276,972      33,953       X   X 28-5284     33838       115
                                                                67,284       1,789       X     28-4580      1789
VANGUARD INTL EQUITY INDEX F   EURPEAN ETF    922042874      1,490,464      46,723       X     28-5284     46723
                                                               667,348      20,920       X   X 28-5284     20920
VARIAN MED SYS INC             COM            92220P105      2,798,836      91,946       X     28-5284     86203              5743
                                                             1,343,348      44,131       X   X 28-5284     43431               700
                                                                88,702       2,914       X     28-11135     2914
                                                                 9,132         300       X     28-4580       300
                                                                30,440       1,000       X   X 28-4580      1000
VARIAN INC                     COM            922206107          3,229         136       X     28-5284       136
                                                                 4,748         200       X   X 28-5284       200
VARIAN SEMICONDUCTOR EQUIPMN   COM            922207105         19,927         920       X     28-5284       300               620
                                                                 9,747         450       X   X 28-5284       450
                                                                   931          43       X     28-11135       43
VECTREN CORP                   COM            92240G101        164,481       7,799       X     28-5284      7799
                                                               307,281      14,570       X   X 28-5284     14570
VECTOR GROUP LTD               COM            92240M108            351          27       X     28-5284        27
VEECO INSTRS INC DEL           COM            922417100          1,734         260       X     28-5284                         260
VENTAS INC                     COM            92276F100         22,610       1,000       X     28-5284      1000
                                                                 4,522         200       X   X 28-5284                         200
                                                               705,771      31,215       X     28-12474    31215
                                                                17,862         790       X   X 28-12474      790
                                                                 1,244          55       X     28-11135       55
VANGUARD INDEX FDS             MCAP VL IDXVIP 922908512      2,928,569     103,483       X     28-5284     96527              6956
                                                             6,623,162     234,034       X   X 28-5284    233334       700
   COLUMN TOTAL                                             38,954,656







                                                                                                                  FILE NO. 28-1235
PAGE 226 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
VANGUARD INDEX FDS             MCAP GR IDXVIP 922908538      4,294,962     131,465       X     28-5284    121618              9847
                                                            13,303,126     407,197       X   X 28-5284    284512       700  121985
VANGUARD INDEX FDS             REIT ETF       922908553         61,550       2,535       X     28-5284      2360               175
                                                                55,844       2,300       X   X 28-5284      2300
VANGUARD INDEX FDS             SML CP GRW ETF 922908595      2,279,176      59,046       X     28-5284     57297              1749
                                                            16,058,179     416,015       X   X 28-5284    206733       400  208882
                                                               408,195      10,575       X     28-12474    10575
                                                                   193           5       X     28-4580         5
                                                                27,020         700       X   X 28-4580       700
VANGUARD INDEX FDS             SM CP VAL ETF  922908611      1,367,876      39,352       X     28-5284     37481              1871
                                                             3,711,742     106,782       X   X 28-5284    105681       400     701
                                                                36,672       1,055       X     28-4580      1055
                                                                50,402       1,450       X   X 28-4580      1450
VANGUARD INDEX FDS             MID CAP ETF    922908629      8,940,751     226,635       X     28-5284    221729              4906
                                                             6,188,522     156,870       X   X 28-5284     83682     18807   54381
                                                               122,966       3,117       X     28-4580      3117
                                                               594,038      15,058       X   X 28-4580     11253      3805
VANGUARD INDEX FDS             LARGE CAP ETF  922908637     23,890,445     663,255       X     28-5284    646276             16979
                                                            14,200,921     394,251       X   X 28-5284    233178            161073
                                                                 4,503         125       X     28-4580       125
                                                             1,222,555      33,941       X   X 28-4580     33941
VANGUARD INDEX FDS             EXTEND MKT ETF 922908652        227,247       8,047       X     28-5284      8047
                                                               611,989      21,671       X   X 28-5284     21671
VANGUARD INDEX FDS             GROWTH ETF     922908736     14,116,065     377,839       X     28-5284    355424             22415
                                                            28,381,271     759,670       X   X 28-5284    339551     26430  393689
                                                                    37           1       X     28-11135        1
                                                               107,335       2,873       X     28-4580      2873
VANGUARD INDEX FDS             VALUE ETF      922908744     10,460,471     308,933       X     28-5284    293652             15281
                                                             9,826,815     290,219       X   X 28-5284    270969     16580    2670
VANGUARD INDEX FDS             SMALL CP ETF   922908751      9,398,263     256,713       X     28-5284    250736              5977
                                                             7,155,608     195,455       X   X 28-5284    160512      5438   29505
                                                                83,874       2,291       X     28-4580      2291
                                                               509,208      13,909       X   X 28-4580      9906      4003
   COLUMN TOTAL                                            177,697,821







                                                                                                                  FILE NO. 28-1235
PAGE 227 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
VANGUARD INDEX FDS             STK MRK ETF    922908769     20,375,507     514,793       X     28-5284    514407               386
                                                            45,763,346   1,156,224       X   X 28-5284    484622       832  670770
                                                                44,567       1,126       X     28-4580      1126
VEOLIA ENVIRONNEMENT           SPONSORED ADR  92334N103         16,135         772       X     28-5284       772
                                                                20,900       1,000       X   X 28-5284      1000
VERENIUM CORPORATION           COM            92340P100            632       2,180       X     28-5284      2180
VERIFONE HLDGS INC             COM            92342Y109          5,440         800       X     28-5284       800
VERISIGN INC                   COM            92343E102          2,831         150       X   X 28-5284                         150
VERIZON COMMUNICATIONS INC     COM            92343V104     71,845,287   2,378,983       X     28-5284   2291774       620   86589
                                                            84,770,222   2,806,961       X   X 28-5284   2616722     31260  158979
                                                            12,529,587     414,887       X     28-12474   384230             30657
                                                             3,145,088     104,142       X   X 28-12474    93474      1940    8728
                                                               523,306      17,328       X     28-11135    17328
                                                             1,490,883      49,367       X     28-4580     48964               403
                                                             1,032,055      34,174       X   X 28-4580     32625       590     959
VERSAR INC                     COM            925297103         51,525      22,500       X   X 28-5284     22500
VERSO PAPER CORP               COM            92531L108            128         200       X     28-5284       200
VERTEX PHARMACEUTICALS INC     COM            92532F100         56,311       1,960       X     28-5284      1800               160
VESTIN RLTY MTG II INC         COM NEW        92549X201          1,793         750       X     28-5284       750
VIAD CORP                      COM NEW        92552R406          4,589         325       X     28-5284       325
VIASAT INC                     COM            92552V100         20,404         980       X     28-5284       750               230
                                                                 8,328         400       X   X 28-5284       400
VIACOM INC NEW                 CL A           92553P102          7,505         402       X     28-5284       355                47
                                                                22,217       1,190       X   X 28-5284       837               353
VIACOM INC NEW                 CL B           92553P201        728,570      41,920       X     28-5284     40650              1270
                                                               687,692      39,568       X   X 28-5284     35818              3750
                                                                 1,095          63       X     28-11135       63
                                                                17,380       1,000       X   X 28-4580      1000
VICAL INC                      COM            925602104          1,930       1,000       X     28-5284      1000
   COLUMN TOTAL                                            243,175,253







                                                                                                                  FILE NO. 28-1235
PAGE 228 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
VICOR CORP                     COM            925815102            636         130       X     28-5284                         130
VILLAGE BK & TR FINANCIAL CO   COM            92705T101        306,682      73,369       X   X 28-5284     73369
VIRGINIA COMM BANCORP INC      COM            92778Q109          3,790       1,000       X     28-5284      1000
                                                                93,609      24,699       X     28-11135    24699
VIROPHARMA INC                 COM            928241108            131          25       X     28-5284        25
                                                                 1,344         256       X   X 28-5284       256
VISA INC                       COM CL A       92826C839      3,644,858      65,555       X     28-5284     57385              8170
                                                             2,492,937      44,837       X   X 28-5284     43232              1605
                                                             1,257,505      22,617       X     28-12474    21962               655
                                                               193,766       3,485       X   X 28-12474     3485
                                                                   945          17       X     28-11135       17
                                                                 6,116         110       X     28-4580       110
                                                                 4,392          79       X   X 28-4580        79
VIRTUS INVT PARTNERS INC       COM            92828Q109            326          50       X     28-5284        50
                                                                    33           5       X   X 28-5284         5
                                                                   749         115       X                   115
VISHAY INTERTECHNOLOGY INC     COM            928298108         25,926       7,450       X     28-5284      7450
                                                                12,357       3,551       X   X 28-5284      3551
VITAL IMAGES INC               COM            92846N104         11,608       1,030       X     28-5284      1030
VIVO PARTICIPACOES S A         SPON ADR PFD N 92855S200            196          15       X     28-5284        15
                                                                   731          56       X   X 28-5284        56
VIVUS INC                      COM            928551100          1,728         400       X     28-5284       400
VMWARE INC                     CL A COM       928563402         16,534         700       X     28-5284       700
VNUS MED TECHNOLOGIES INC      COM            928566108        119,112       5,600       X   X 28-5284      5600
VODAFONE GROUP PLC NEW         SPONS ADR NEW  92857W209      2,708,218     155,466       X     28-5284    143273             12193
                                                             4,607,851     264,515       X   X 28-5284    232597      1195   30723
                                                               290,444      16,673       X     28-12474    16673
                                                               350,595      20,126       X     28-11135    20126
                                                                21,026       1,207       X     28-4580      1207
                                                                69,123       3,968       X   X 28-4580      3968
   COLUMN TOTAL                                             16,243,268







                                                                                                                  FILE NO. 28-1235
PAGE 229 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
VOCUS INC                      COM            92858J108        332,250      25,000       X     28-5284                       25000
                                                                   332          25       X   X 28-5284        25
VOLCOM INC                     COM            92864N101         58,200       6,000       X     28-5284      6000
VOLT INFORMATION SCIENCES IN   COM            928703107            698         105       X     28-5284                         105
VONAGE HLDGS CORP              COM            92886T201            285         712       X     28-5284       712
VORNADO RLTY TR                SH BEN INT     929042109        115,443       3,473       X     28-5284      2823               650
                                                                82,535       2,483       X   X 28-5284      2483
                                                             1,077,076      32,403       X     28-12474    32403
                                                                44,242       1,331       X   X 28-12474     1331
VORNADO RLTY TR                PFD CONV SER A 929042208         23,310         500       X     28-5284                         500
VULCAN MATLS CO                COM            929160109         70,997       1,603       X     28-5284       903               700
                                                               309,011       6,977       X   X 28-5284      6977
                                                                 1,107          25       X     28-11135       25
WD-40 CO                       COM            929236107          3,380         140       X     28-5284                         140
                                                                36,210       1,500       X   X 28-5284      1500
                                                               192,782       7,986       X     28-11135     7986
WGL HLDGS INC                  COM            92924F106         49,758       1,517       X     28-5284      1517
                                                               463,202      14,122       X   X 28-5284      6972              7150
WHX CORP                       COM PAR $.01 N 929248607         53,211       7,942       X   X 28-5284                7942
WABCO HLDGS INC                COM            92927K102            603          49       X     28-5284        49
                                                                 7,583         616       X   X 28-5284       616
WMS INDS INC                   COM            929297109         14,031         671       X     28-5284       671
                                                               116,301       5,562       X   X 28-5284      5562
                                                               180,307       8,623       X     28-11135     8623
W P CAREY & CO LLC             COM            92930Y107        781,931      35,238       X     28-5284     34738               500
                                                               476,530      21,475       X   X 28-5284     19975              1500
WSFS FINL CORP                 COM            929328102         11,180         500       X     28-5284       500
                                                                11,180         500       X   X 28-5284       500
                                                                15,361         687       X     28-4580       687
   COLUMN TOTAL                                              4,529,036







                                                                                                                  FILE NO. 28-1235
PAGE 230 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
WPP PLC                        ADR            92933H101          2,543          91       X     28-5284        91
                                                                   894          32       X   X 28-5284        32
WVS FINL CORP                  COM            929358109         30,000       2,000       X     28-5284      2000
WABASH NATL CORP               COM            929566107            295         240       X     28-5284                         240
WABTEC CORP                    COM            929740108        841,522      31,900       X     28-5284      2250             29650
                                                             3,231,682     122,505       X   X 28-5284      8250            114255
                                                                35,006       1,327       X     28-11135     1327
                                                             7,054,065     267,402       X     28-4580    267402
WACOAL HOLDINGS CORP           ADR            930004205         11,425         195       X     28-5284       195
WADDELL & REED FINL INC        CL A           930059100         55,601       3,077       X     28-5284      3077
                                                               452,039      25,016       X   X 28-5284      5325             19691
                                                                 1,879         104       X     28-11135      104
WAL MART STORES INC            COM            931142103     78,242,009   1,501,766       X     28-5284   1433271       290   68205
                                                            54,280,958   1,041,861       X   X 28-5284    963334      4876   73651
                                                            15,918,842     305,544       X     28-12474   285127             20417
                                                             4,182,901      80,286       X   X 28-12474    71610      1761    6915
                                                               251,435       4,826       X     28-11135     4826
                                                             1,481,411      28,434       X     28-4580     28284               150
                                                               552,104      10,597       X   X 28-4580     10241               356
WALGREEN CO                    COM            931422109      7,134,327     274,820       X     28-5284    266442              8378
                                                             8,138,694     313,509       X   X 28-5284    295615       300   17594
                                                               500,950      19,297       X     28-12474    15387              3910
                                                                19,210         740       X   X 28-12474      740
                                                                17,990         693       X     28-11135      693
                                                               118,248       4,555       X     28-4580      4555
                                                                49,324       1,900       X   X 28-4580      1900
WALTER INDS INC                COM            93317Q105          2,287         100       X     28-5284       100
WARNACO GROUP INC              COM NEW        934390402          1,008          42       X     28-5284        42
                                                                 1,728          72       X   X 28-5284        72
                                                                33,792       1,408       X     28-11135     1408
WARNER MUSIC GROUP CORP        COM            934550104            550         234       X     28-5284       234
WASHINGTON FED INC             COM            938824109         35,046       2,637       X     28-11135     2637
   COLUMN TOTAL                                            182,679,765







                                                                                                                  FILE NO. 28-1235
PAGE 231 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
WASHINGTON POST CO             CL B           939640108        185,692         520       X     28-5284       240               280
                                                               599,214       1,678       X   X 28-5284      1350               328
                                                                18,212          51       X     28-11135       51
WASHINGTON REAL ESTATE INVT    SH BEN INT     939653101        113,315       6,550       X     28-5284      3900              2650
                                                               178,277      10,305       X   X 28-5284      9905               400
                                                                43,250       2,500       X   X 28-4580      2500
WASHINGTON TR BANCORP          COM            940610108         66,544       4,095       X   X 28-5284      4095
WASTE CONNECTIONS INC          COM            941053100          3,161         123       X     28-5284       123
                                                                 7,325         285       X   X 28-5284       285
                                                                21,460         835       X     28-11135      835
WASTE MGMT INC DEL             COM            94106L109      7,547,136     294,810       X     28-5284    257455             37355
                                                             2,013,696      78,660       X   X 28-5284     55075      2480   21105
                                                             6,342,374     247,749       X     28-12474   230172             17577
                                                             1,645,747      64,287       X   X 28-12474    57494      1547    5246
                                                               379,750      14,834       X     28-11135    14834
                                                                80,256       3,135       X     28-4580      3135
                                                                10,854         424       X   X 28-4580       424
WATERS CORP                    COM            941848103        454,744      12,307       X     28-5284     12307
                                                               523,064      14,156       X   X 28-5284     12289      1867
                                                                97,954       2,651       X     28-11135     2651
                                                                53,282       1,442       X   X 28-4580      1442
WATSCO INC                     COM            942622200         10,209         300       X     28-5284        50               250
WATSON PHARMACEUTICALS INC     COM            942683103         26,444         850       X   X 28-5284       200               650
                                                               442,011      14,208       X     28-11135    14208
WATSON WYATT WORLDWIDE INC     CL A           942712100        171,314       3,470       X   X 28-5284                        3470
                                                                53,073       1,075       X     28-11135     1075
WATTS WATER TECHNOLOGIES INC   CL A           942749102          5,086         260       X     28-5284                         260
                                                                 9,780         500       X   X 28-5284       500
WEBSENSE INC                   COM            947684106            552          46       X     28-11135       46
WEBMD HEALTH CORP              CL A           94770V102          6,690         300       X     28-5284                         300
                                                                89,200       4,000       X   X 28-5284      4000
   COLUMN TOTAL                                             21,199,666







                                                                                                                  FILE NO. 28-1235
PAGE 232 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
WEBSTER FINL CORP CONN         COM            947890109         16,609       3,908       X   X 28-5284      3908
WEIGHT WATCHERS INTL INC NEW   COM            948626106         57,505       3,100       X   X 28-5284      3100
WEINGARTEN RLTY INVS           SH BEN INT     948741103          7,616         800       X     28-5284       800
                                                               154,224      16,200       X   X 28-5284     10200              6000
                                                               147,798      15,525       X     28-12474    15525
                                                               125,474      13,180       X   X 28-12474    13180
WEIS MKTS INC                  COM            948849104        460,758      14,844       X     28-5284     14344               500
                                                                 7,760         250       X   X 28-5284       250
WELLCARE HEALTH PLANS INC      COM            94946T106          5,625         500       X     28-5284       500
WELLPOINT INC                  COM            94973V107      2,051,633      54,033       X     28-5284     49375              4658
                                                             1,340,227      35,297       X   X 28-5284     23172       700   11425
                                                             1,528,217      40,248       X     28-12474    37914              2334
                                                               211,113       5,560       X   X 28-12474     5145               415
                                                               276,877       7,292       X     28-11135     7292
                                                                 7,594         200       X   X 28-4580       200
WELLS FARGO & CO NEW           COM            949746101     25,386,018   1,782,726       X     28-5284   1706701      1000   75025
                                                            28,225,517   1,982,129       X   X 28-5284   1832274     22591  127264
                                                             2,618,394     183,876       X     28-12474   172084             11792
                                                               509,408      35,773       X   X 28-12474    33308              2465
                                                                23,653       1,661       X     28-11135     1661
                                                               284,601      19,986       X     28-4580     19986
                                                               391,443      27,489       X   X 28-4580     27489
WELLS FARGO & CO NEW           PERP PFD CNV A 949746804         23,950          50       X   X 28-5284                  50
WENDYS ARBYS GROUP INC         COM            950587105         38,394       7,633       X     28-5284      7633
                                                                 6,967       1,385       X   X 28-5284       110              1275
WERNER ENTERPRISES INC         COM            950755108            983          65       X     28-11135       65
WESBANCO INC                   COM            950810101      1,190,607      52,151       X     28-5284     52151
                                                                71,230       3,120       X   X 28-5284      3120
WEST PHARMACEUTICAL SVSC INC   COM            955306105        167,331       5,100       X     28-5284      5100
                                                                21,983         670       X   X 28-5284                         670
   COLUMN TOTAL                                             65,359,509







                                                                                                                  FILE NO. 28-1235
PAGE 233 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
WESTAR ENERGY INC              COM            95709T100         17,530       1,000       X     28-5284      1000
                                                                14,024         800       X   X 28-5284       800
WESTAMERICA BANCORPORATION     COM            957090103         21,641         475       X     28-5284       475
WESTELL TECHNOLOGIES INC       CL A           957541105             49         175       X   X 28-5284       175
WESTERN ASSET GLB HI INCOME    COM            95766B109         99,141      14,306       X   X 28-5284                       14306
WESTERN AST EMRG MKT FLT RT    COM            95766C107         14,900       2,000       X   X 28-5284      2000
WESTERN ASSET HIGH INCM FD I   COM            95766J102         18,221       3,325       X     28-5284      3325
                                                                41,374       7,550       X   X 28-5284      7550
WESTERN ASSET HIGH INCM OPP    COM            95766K109         12,222       2,938       X     28-5284      2938
                                                                44,512      10,700       X   X 28-5284     10700
WESTERN ASSETT MGD HI INCM F   COM            95766L107         12,360       2,922       X     28-5284      2922
WESTERN ASST MNG MUN FD INC    COM            95766M105         50,500       5,000       X   X 28-5284      5000
WESTERN ASSET CLYM INFL SEC    COM SH BEN INT 95766Q106         26,082       2,270       X     28-5284      2270
                                                                28,725       2,500       X   X 28-5284                        2500
WESTERN ASSET CLYM INFL OPP    COM            95766R104        168,461      15,700       X   X 28-5284                       15700
WESTERN ASSET INCOME FD        COM            95766T100          9,870       1,000       X   X 28-5284                        1000
WESTERN ASSET INFL MGMT FD I   COM            95766U107         27,540       1,786       X     28-5284      1786
                                                               191,856      12,442       X   X 28-5284                       12442
WESTERN ASSET PREMIER BD FD    SHS BEN INT    957664105         42,506       4,671       X     28-5284      4671
                                                               138,320      15,200       X   X 28-5284                       15200
WESTERN ASSET VAR RT STRG FD   COM            957667108        314,355      28,500       X   X 28-5284                       28500
WESTERN DIGITAL CORP           COM            958102105        107,086       5,537       X     28-5284      5337               200
                                                                20,655       1,068       X   X 28-5284      1068
                                                                   542          28       X     28-11135       28
WESTERN GAS PARTNERS LP        COM UNIT LP IN 958254104          7,440         500       X     28-5284       500
WESTERN REFNG INC              COM            959319104          1,194         100       X   X 28-5284       100
   COLUMN TOTAL                                              1,431,106







                                                                                                                  FILE NO. 28-1235
PAGE 234 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
WESTERN UN CO                  COM            959802109        812,588      64,645       X     28-5284     61097              3548
                                                             1,194,515      95,029       X   X 28-5284     92194              2835
                                                                11,728         933       X   X 28-4580       933
WESTPAC BKG CORP               SPONSORED ADR  961214301         23,812         357       X     28-5284       357
                                                                 1,001          15       X     28-11135       15
WEYERHAEUSER CO                COM            962166104        381,762      13,847       X     28-5284     12752              1095
                                                               564,385      20,471       X   X 28-5284     17921       250    2300
                                                                11,579         420       X     28-11135      420
                                                                 1,792          65       X     28-4580        65
WHIRLPOOL CORP                 COM            963320106        105,903       3,579       X     28-5284      2807               772
                                                                49,682       1,679       X   X 28-5284      1679
                                                                    59           2       X     28-12474        2
                                                                 1,775          60       X     28-4580        60
WHITING PETE CORP NEW          COM            966387102         14,347         555       X   X 28-5284       555
WHITNEY HLDG CORP              COM            966612103          6,263         547       X     28-5284                         547
                                                                47,884       4,182       X   X 28-5284      4182
                                                               252,278      22,033       X     28-11135    22033
WHOLE FOODS MKT INC            COM            966837106        424,015      25,239       X     28-5284     16664              8575
                                                               648,312      38,590       X   X 28-5284      7870     29500    1220
                                                                23,520       1,400       X     28-4580      1400
                                                                 1,680         100       X   X 28-4580       100
WILEY JOHN & SONS INC          CL A           968223206         59,560       2,000       X     28-5284      2000
                                                                53,604       1,800       X   X 28-5284      1600               200
                                                                20,965         704       X     28-11135      704
                                                                60,245       2,023       X   X 28-4580      2023
WILLIAMS COAL SEAM GAS RTY T   TR UNIT        969450105            880         200       X     28-5284       200
WILLIAMS COS INC DEL           COM            969457100        455,826      40,055       X     28-5284     36915              3140
                                                               348,831      30,653       X   X 28-5284     30653
                                                                 1,969         173       X     28-11135      173
WILLIAMS CTLS INC              COM NEW        969465608          2,750         550       X   X 28-5284       550
WILLIAMS CLAYTON ENERGY INC    COM            969490101         11,696         400       X   X 28-5284       400
   COLUMN TOTAL                                              5,595,206







                                                                                                                  FILE NO. 28-1235
PAGE 235 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
WILLIAMS PARTNERS L P          COM UNIT L P   96950F104         11,160       1,000       X   X 28-5284      1000
WILLIAMS PIPELINE PARTNERS L   COM UNIT LP IN 96950K103         18,106       1,100       X     28-5284      1100
WILMINGTON TRUST CORP          COM            971807102        430,662      44,444       X     28-5284     44344               100
                                                               136,406      14,077       X   X 28-5284     14077
                                                               242,357      25,011       X     28-4580     25011
                                                               880,705      90,888       X   X 28-4580     88659              2229
WIMM BILL DANN FOODS OJSC      SPONSORED ADR  97263M109          1,591          50       X     28-5284        50
WIND RIVER SYSTEMS INC         COM            973149107          7,040       1,100       X     28-5284      1100
                                                                   410          64       X   X 28-5284        64
WINDSTREAM CORP                COM            97381W104      1,054,329     130,810       X     28-5284    125099              5711
                                                               842,891     104,577       X   X 28-5284     95386       155    9036
                                                                23,003       2,854       X     28-11135     2854
                                                                 9,720       1,206       X   X 28-4580      1206
WINN DIXIE STORES INC          COM NEW        974280307          6,204         649       X     28-5284       649
WINNEBAGO INDS INC             COM            974637100          1,274         240       X     28-5284                         240
WINTHROP RLTY TR               SH BEN INT NEW 976391300         67,089       9,709       X   X 28-5284                        9709
WISCONSIN ENERGY CORP          COM            976657106      7,753,711     188,334       X     28-5284    172036       300   15998
                                                             2,129,230      51,718       X   X 28-5284     46638      1870    3210
                                                            12,957,887     314,741       X     28-12474   291206             23535
                                                             3,221,841      78,257       X   X 28-12474    69733      1695    6829
                                                                94,897       2,305       X     28-4580      2305
                                                                 8,193         199       X   X 28-4580       199
WISDOMTREE TRUST               EQTY INC ETF   97717W208          1,147          50       X     28-5284        50
WISDOMTREE TRUST               LARGECAP DIVID 97717W307     51,144,190   1,716,248       X     28-5284   1715298               950
                                                             1,068,539      35,857       X   X 28-5284     35857
                                                             2,855,525      95,823       X     28-4580     93523              2300
                                                               606,519      20,353       X   X 28-4580     20353
WISDOMTREE TRUST               INDIA ERNGS FD 97717W422         13,894       1,270       X   X 28-5284      1074               196
WISDOMTREE TRUST               DEFA FD        97717W703         60,676       1,892       X     28-5284      1892
   COLUMN TOTAL                                             85,649,196







                                                                                                                  FILE NO. 28-1235
PAGE 236 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
WISDOMTREE TRUST               INTL SMCAP DIV 97717W760        387,009      13,195       X     28-12474    13195
WOLVERINE WORLD WIDE INC       COM            978097103          6,622         425       X     28-5284                         425
                                                                 8,507         546       X   X 28-5284       546
                                                                30,428       1,953       X     28-11135     1953
WOODWARD GOVERNOR CO           COM            980745103            917          82       X     28-5284        82
                                                                23,109       2,067       X   X 28-5284        67              2000
WORLD ACCEP CORP DEL           COM            981419104        132,970       7,776       X     28-11135     7776
WORLD WRESTLING ENTMT INC      CL A           98156Q108         92,943       8,054       X     28-5284      8054
                                                                41,313       3,580       X   X 28-5284      3580
WORTHINGTON INDS INC           COM            981811102         53,148       6,102       X     28-5284      4952              1150
                                                               457,319      52,505       X   X 28-5284     52005               500
WRIGHT EXPRESS CORP            COM            98233Q105            638          35       X     28-5284        35
                                                                 4,919         270       X   X 28-5284       270
WRIGHT MED GROUP INC           COM            98235T107         29,969       2,300       X   X 28-5284      2300
WYETH                          COM            983024100     86,862,984   2,018,192       X     28-5284   1957865       600   59727
                                                           104,562,495   2,429,426       X   X 28-5284   2209278     11775  208373
                                                             2,221,165      51,607       X     28-12474    48379              3228
                                                               407,417       9,466       X   X 28-12474     8812               654
                                                               556,765      12,936       X     28-11135    12936
                                                             1,633,583      37,955       X     28-4580     37955
                                                             3,089,842      71,790       X   X 28-4580     69497              2293
WYNDHAM WORLDWIDE CORP         COM            98310W108            638         152       X     28-5284       152
                                                                60,421      14,386       X   X 28-5284      1646             12740
                                                                    88          21       X     28-11135       21
WYNN RESORTS LTD               COM            983134107          1,997         100       X   X 28-5284       100
XTO ENERGY INC                 COM            98385X106     17,817,257     581,883       X     28-5284    549221       490   32172
                                                             5,707,690     186,404       X   X 28-5284    171971      4578    9855
                                                            12,324,121     402,486       X     28-12474   375160             27326
                                                             3,122,811     101,986       X   X 28-12474    90554      2263    9169
                                                               135,279       4,418       X     28-11135     4418
                                                               609,552      19,907       X     28-4580     19557               350
                                                               252,278       8,239       X   X 28-4580      8239
   COLUMN TOTAL                                            240,636,194







                                                                                                                  FILE NO. 28-1235
PAGE 237 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
XCEL ENERGY INC                COM            98389B100      2,172,258     116,600       X     28-5284     94130             22470
                                                             2,844,894     152,705       X   X 28-5284    113655             39050
                                                                52,164       2,800       X     28-12474     2800
                                                                74,520       4,000       X   X 28-4580      4000
XILINX INC                     COM            983919101        275,789      14,394       X     28-5284     13174              1220
                                                                27,571       1,439       X   X 28-5284      1439
                                                               364,308      19,014       X     28-11135    19014
                                                                 3,027         158       X     28-4580       158
XEROX CORP                     COM            984121103         41,992       9,229       X     28-5284      6149              3080
                                                                55,583      12,216       X   X 28-5284     11466               750
                                                               210,256      46,210       X     28-11135    46210
YRC WORLDWIDE INC              COM            984249102         29,185       6,500       X     28-5284      6500
                                                                   171          38       X     28-11135       38
YADKIN VALLEY FINANCIAL CORP   COM            984314104        176,565      23,700       X     28-1500     23700
YAHOO INC                      COM            984332106        413,148      32,252       X     28-5284     18392             13860
                                                               265,872      20,755       X   X 28-5284     19310              1445
YAMANA GOLD INC                COM            98462Y100         43,753       4,730       X     28-5284      4730
                                                                46,250       5,000       X   X 28-5284      5000
                                                                 2,220         240       X     28-11135      240
YINGLI GREEN ENERGY HLDG CO    ADR            98584B103          3,612         600       X   X 28-5284       600
YORK WTR CO                    COM            987184108         40,133       3,247       X   X 28-5284      3247
YOUBET COM INC                 COM            987413101      4,256,405   2,518,583       X   X 28-5284             2518583
YUM BRANDS INC                 COM            988498101     13,030,824     474,193       X     28-5284    450759             23434
                                                             7,192,505     261,736       X   X 28-5284    239893      2515   19328
                                                             8,958,782     326,011       X     28-12474   304267             21744
                                                             2,071,195      75,371       X   X 28-12474    67943      1540    5888
                                                               118,769       4,322       X     28-11135     4322
                                                               331,161      12,051       X     28-4580     11801               250
                                                               151,003       5,495       X   X 28-4580      5495
ZALE CORP NEW                  COM            988858106            605         310       X     28-5284                         310
ZEBRA TECHNOLOGIES CORP        CL A           989207105          9,928         522       X     28-5284       522
   COLUMN TOTAL                                             43,264,448







                                                                                                                  FILE NO. 28-1235
PAGE 238 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                     ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
ZENITH NATL INS CORP           COM            989390109          7,715         320       X     28-5284                         320
                                                                12,176         505       X     28-11135      505
ZILOG INC                      COM PAR $0.01  989524301      1,148,964     488,921       X   X 28-5284              488921
ZIMMER HLDGS INC               COM            98956P102      7,702,741     211,034       X     28-5284    207198              3836
                                                             7,949,445     217,793       X   X 28-5284    192977      4516   20300
                                                                   365          10       X   X 28-12474       10
                                                               117,895       3,230       X     28-4580      3230
                                                               335,691       9,197       X   X 28-4580      9046       151
ZIONS BANCORPORATION           COM            989701107          1,180         120       X     28-5284       120
                                                                13,978       1,422       X   X 28-5284       222              1200
ZOLTEK COS INC                 COM            98975W104          6,810       1,000       X     28-5284      1000
                                                               141,328      20,753       X     28-11135    20753
ZOOM TECHNOLOGIES INC DEL      COM NEW        98976E301          1,266         911       X   X 28-5284                 911
ZWEIG TOTAL RETURN FD INC      COM            989837109         29,064       9,256       X   X 28-5284      9256
ZOLL MED CORP                  COM            989922109         20,104       1,400       X     28-5284      1400
                                                                   704          49       X     28-11135       49
   COLUMN TOTAL                                             17,489,426







                                                                                                                  FILE NO. 28-1235
PAGE 239 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                       ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
1 800 FLOWERS COM              CL A           68243Q106          2,000       1,087       X     28-12020     1087     0           0
1ST SOURCE CORP                COM            336901103        172,450       9,563       X     28-12020     9563     0           0
3-D SYS CORP DEL               COM NEW        88554D205          6,000         913       X     28-12020      913     0           0
3COM CORP                      COM            885535104        131,634      42,600       X     28-4635         0     0       42600
3COM CORP                      COM            885535104      1,574,500     509,417       X     28-12020   509417     0           0
3M CO                          COM            88579Y101     13,657,836     274,695       X     28-4635         0     0      274695
3M CO                          COM            88579Y101     43,861,987     882,173       X     28-12020   856325     0       25848
3PAR INC                       COM            88580F109          3,285         500       X     28-4635         0     0         500
3PAR INC                       COM            88580F109        285,000      43,400       X     28-12020    43400     0           0
A D C TELECOMMUNICATION S      COM NEW        000886309              4           1       X     28-4635         0     0           1
A D C TELECOMMUNICATION S      COM NEW        000886309          3,623         849       X     28-12020      849     0           0
A H BELO CORP                  COM CL A       001282102              0         164       X     28-12020      164     0           0
AAON INC                       COM PAR $0.004 000360206         54,000       2,953       X     28-12020     2953     0           0
AAR CORP                       COM            000361105      1,198,699      95,590       X     28-4635         0     0       95590
AAR CORP                       COM            000361105      2,133,000     170,132       X     28-12020   170132     0           0
AARON RENTS INC                COM            002535201      1,099,725      41,250       X     28-4635         0     0       41250
AARON RENTS INC                COM            002535201      1,866,000      70,006       X     28-12020    70006     0           0
ABAXIS INC                     COM            002567105          2,000         105       X     28-12020      105     0           0
ABB LTD                        SPONSORED ADR  000375204      7,446,846     534,207       X     28-4635         0     0      534207
ABB LTD                        SPONSORED ADR  000375204      7,450,474     534,444       X     28-12020   533744     0         700
ABBOTT LABS                    COM            002824100     18,890,202     396,021       X     28-4635         0     0      396021
ABBOTT LABS                    COM            002824100    202,318,460   4,241,478       X     28-12020  4093831     0      147647
ABBOTT LABS                    COM            002824100      2,848,000      17,400       X     28-12020    17400     0           0
ABERCROMBIE & FITCH CO         CL A           002896207        148,679       6,247       X     28-4635         0     0        6247
ABERCROMBIE & FITCH CO         CL A           002896207        116,641       4,883       X     28-12020     4883     0           0
ABERDEEN ASIA PACIFIC I NCOM   COM            003009107         19,080       4,000       X     28-12020        0     0        4000
ABINGTON BANCORP INC           COM            00350L109              0          17       X     28-12020       17     0           0
ABIOMED INC                    COM            003654100         23,520       4,802       X     28-12020     4002     0         800
ABITIBIBOWATER INC             COM            003687100              0         596       X     28-12020      596     0           0
ABM INDS INC                   COM            000957100          3,000         178       X     28-12020      178     0           0
ABRAXIS BIOSCIENCE INC NEW     COM            00383Y102         13,000         263       X     28-12020      263     0           0
ACADIA RLTY TR                 COM SH BEN INT 004239109          2,000         201       X     28-12020      201     0           0
ACCELRYS INC                   COM            00430U103            398         100       X     28-12020      100     0           0
ACCENTURE LTD BERMUDA          CL A           G1150G111        521,815      18,982       X     28-4635         0     0       18982
ACCENTURE LTD BERMUDA          CL A           G1150G111      2,383,038      86,692       X     28-12020    86502     0         190
ACCESS INTEGRATED TECHN LGS I  CL A           004329108        206,476     333,025       X     28-12020   333025     0           0
ACCO BRANDS CORP               COM            00081T108          1,139       1,162       X     28-12020     1162     0           0
ACCURAY INC                    COM            004397105          7,000       1,459       X     28-12020     1459     0           0
ACE LTD                        SHS            H0023R105        188,102       4,656       X     28-4635         0     0        4656
ACE LTD                        SHS            H0023R105     58,777,402   1,454,878       X     28-12020  1409015     0       45863
ACERGY S A                     SPONSORED ADR  00443E104         67,053      10,850       X     28-4635         0     0       10850
ACETO CORP                     COM            004446100         39,932       6,700       X     28-4635         0     0        6700
ACETO CORP                     COM            004446100        139,000      23,300       X     28-12020    23300     0           0
ACI WORLDWIDE INC              COM            004498101        613,125      32,700       X     28-4635         0     0       32700
ACI WORLDWIDE INC              COM            004498101        578,875      30,850       X     28-12020    30850     0           0
ACORDA THERAPEUTICS INC        COM            00484M106        160,461       8,100       X     28-4635         0     0        8100
ACORDA THERAPEUTICS INC        COM            00484M106          4,000         181       X     28-12020      181     0           0
ACTIONS SEMICONDUCTOR C O LTD  ADR            00507E107         12,720       8,000       X     28-12020        0     0        8000
ACTIVISION BLIZZARD INC        COM            00507V109        352,105      33,662       X     28-4635         0     0       33662
ACTIVISION BLIZZARD INC        COM            00507V109        346,148      33,129       X     28-12020    33129     0           0
ACTUANT CORP                   CL A NEW       00508X203         82,537       7,990       X     28-4635         0     0        7990







                                                                                                                  FILE NO. 28-1235
PAGE 240 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                       ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
ACTUANT CORP                   CL A NEW       00508X203         12,000       1,210       X     28-12020     1210     0           0
ACTUATE CORP                   COM            00508B102          3,127       1,022       X     28-4635         0     0        1022
ACTUATE CORP                   COM            00508B102              0          52       X     28-12020       52     0           0
ACUITY BRANDS INC              COM            00508Y102         11,975         520       X     28-12020      520     0           0
ACXIOM CORP                    COM            005125109          4,000         556       X     28-12020      556     0           0
ADAMS EXPRESS CO               COM            006212104         78,515      10,438       X     28-12020    10438     0           0
ADAPTEC INC                    COM            00651F108          2,400       1,000       X     28-12020     1000     0           0
ADMINISTAFF INC                COM            007094105         10,565         500       X     28-12020      500     0           0
ADOBE SYS INC                  COM            00724F101      4,887,743     228,506       X     28-4635         0     0      228506
ADOBE SYS INC                  COM            00724F101      5,623,240     262,882       X     28-12020   262882     0           0
ADOLOR CORP                    COM            00724X102         35,496      17,400       X     28-4635         0     0       17400
ADOLOR CORP                    COM            00724X102         10,200       5,000       X     28-12020        0     0        5000
ADTRAN INC                     COM            00738A106          8,000         477       X     28-12020      477     0           0
ADVANCE AMER CASH ADVAN CE CT  COM            00739W107              0         268       X     28-12020      268     0           0
ADVANCE AUTO PARTS INC         COM            00751Y106        624,211      15,195       X     28-4635         0     0       15195
ADVANCE AUTO PARTS INC         COM            00751Y106        436,000      10,624       X     28-12020    10624     0           0
ADVANCED ANALOGIC TECHN OLOGI  COM            00752J108              0           8       X     28-12020        8     0           0
ADVANCED ENERGY INDS           COM            007973100          1,000          85       X     28-12020       85     0           0
ADVANCED MICRO DEVICES INC     COM            007903107        129,405      42,428       X     28-4635         0     0       42428
ADVANCED MICRO DEVICES INC     COM            007903107         99,341      32,728       X     28-12020    32228     0         500
ADVENT CLAYMORE CV SECS & IN   COM            00764C109          2,014         203       X     28-12020      203     0           0
ADVENT SOFTWARE INC            COM            007974108          5,000         161       X     28-12020      161     0           0
ADVENTRX PHARMACEUTICAL S INC  COM            00764X103          6,965      39,800       X     28-12020    39800     0           0
ADVISORY BRD CO                COM            00762W107          3,000         153       X     28-12020      153     0           0
AECOM TECHNOLOGY CORP D ELAWA  COM            00766T100         11,736         450       X     28-4635         0     0         450
AECOM TECHNOLOGY CORP D ELAWA  COM            00766T100         41,608       1,577       X     28-12020     1577     0           0
AEGEAN MARINE PETROLEUM NETW   SHS            Y0017S102        105,525       6,300       X     28-4635         0     0        6300
AEGON N V                      NY REGISTRY SH 007924103        576,354     150,092       X     28-12020   150092     0           0
AEP INDS INC                   COM            001031103          7,000         473       X     28-12020      473     0           0
AEROPOSTALE                    COM            007865108        601,584      22,650       X     28-4635         0     0       22650
AEROPOSTALE                    COM            007865108        799,132      30,089       X     28-12020    30089     0           0
AEROVIRONMENT INC              COM            008073108         16,720         800       X     28-4635         0     0         800
AEROVIRONMENT INC              COM            008073108        943,000      45,100       X     28-12020    45100     0           0
AES CORP                       COM            00130H105        269,328      46,356       X     28-4635         0     0       46356
AES CORP                       COM            00130H105        337,809      58,129       X     28-12020    58129     0           0
AES TR III                     PFD CV 6.75%   00808N202         55,017       1,591       X     28-12020     1591     0           0
AETNA INC NEW                  COM            00817Y108        774,643      31,839       X     28-4635         0     0       31839
AETNA INC NEW                  COM            00817Y108        896,262      36,857       X     28-12020    36259     0         598
AFC ENTERPRISES INC            COM            00104Q107              0          43       X     28-12020       43     0           0
AFFILIATED COMPUTER SER VICES  CL A           008190100        354,386       7,400       X     28-4635         0     0        7400
AFFILIATED COMPUTER SER VICES  CL A           008190100        293,146       6,119       X     28-12020     5806     0         313
AFFILIATED MANAGERS GRO UP     COM            008252108      1,752,904      42,026       X     28-4635         0     0       42026
AFFILIATED MANAGERS GRO UP     COM            008252108      3,310,104      79,369       X     28-12020    79369     0           0
AFFYMETRIX INC                 COM            00826T108            654         200       X     28-12020      200     0           0
AFLAC INC                      COM            001055102        671,831      34,702       X     28-4635         0     0       34702
AFLAC INC                      COM            001055102      1,132,438      58,503       X     28-12020    57012     0        1491
AGCO CORP                      COM            001084102         20,678       1,055       X     28-4635         0     0        1055
AGCO CORP                      COM            001084102         33,057       1,698       X     28-12020     1698     0           0
AGILENT TECHNOLOGIES IN C      COM            00846U101        407,074      26,485       X     28-4635         0     0       26485
AGILENT TECHNOLOGIES IN C      COM            00846U101        751,259      48,898       X     28-12020    48517     0         381
AGILYSYS INC                   COM            00847J105         50,413      11,724       X     28-12020     3086     0        8638







                                                                                                                  FILE NO. 28-1235
PAGE 241 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                      ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
AGL RES INC                    COM            001204106         93,939       3,551       X     28-12020     2554     0         997
AGREE REALTY CORP              COM            008492100          7,000         448       X     28-12020      448     0           0
AGRIA CORP                     SPONSORED ADR  00850H103         56,500      50,000       X     28-12020    50000     0           0
AGRIUM INC                     COM            008916108          7,158         200       X     28-12020      200     0           0
AIR METHODS CORP               COM PAR $.06   009128307          3,000         201       X     28-12020      201     0           0
AIR PRODS & CHEMS INC          COM            009158106        885,488      15,742       X     28-4635         0     0       15742
AIR PRODS & CHEMS INC          COM            009158106      2,557,344      45,469       X     28-12020    40707     0        4762
AIRGAS INC                     COM            009363102        278,561       8,239       X     28-4635         0     0        8239
AIRGAS INC                     COM            009363102         73,659       2,174       X     28-12020     2071     0         103
AIRVANA INC                    COM            00950V101         12,000       1,969       X     28-12020     1969     0           0
AK STL HLDG CORP               COM            001547108        739,583     103,874       X     28-4635         0     0      103874
AK STL HLDG CORP               COM            001547108      1,278,642     179,614       X     28-12020   179614     0           0
AKAMAI TECHNOLOGIES INC        COM            00971T101        241,511      12,449       X     28-4635         0     0       12449
AKAMAI TECHNOLOGIES INC        COM            00971T101        201,859      10,393       X     28-12020    10091     0         302
ALASKA AIR GROUP INC           COM            011659109         13,000         727       X     28-12020      727     0           0
ALASKA COMMUNICATIONS S YS GR  COM            01167P101         21,440       3,200       X     28-4635         0     0        3200
ALASKA COMMUNICATIONS S YS GR  COM            01167P101         57,950       8,628       X     28-12020     5128     0        3500
ALBANY INTL CORP               CL A           012348108          6,335         700       X     28-4635         0     0         700
ALBEMARLE CORP                 COM            012653101         75,673       3,476       X     28-4635         0     0        3476
ALBEMARLE CORP                 COM            012653101         28,000       1,285       X     28-12020     1285     0           0
ALBERTO CULVER CO NEW          COM            013078100         94,962       4,200       X     28-4635         0     0        4200
ALBERTO CULVER CO NEW          COM            013078100        220,354       9,728       X     28-12020     9728     0           0
ALCATEL-LUCENT                 SPONSORED ADR  013904305         11,859       6,376       X     28-4635         0     0        6376
ALCATEL-LUCENT                 SPONSORED ADR  013904305          4,492       2,415       X     28-12020     2131     0         284
ALCOA INC                      COM            013817101        537,273      73,198       X     28-4635         0     0       73198
ALCOA INC                      COM            013817101      1,423,633     193,951       X     28-12020   190702     0        3249
ALCON INC                      COM SHS        H01301102         33,637         370       X     28-4635         0     0         370
ALCON INC                      COM SHS        H01301102        889,372       9,788       X     28-12020     6718     0        3070
ALEXANDER & BALDWIN INC        COM            014482103        156,306       8,215       X     28-12020     8215     0           0
ALEXANDERS INC                 COM            014752109         15,852          95       X     28-12020       95     0           0
ALEXANDRIA REAL ESTATE EQ IN   COM            015271109        138,320       3,800       X     28-4635         0     0        3800
ALEXANDRIA REAL ESTATE EQ IN   COM            015271109         23,182         649       X     28-12020      649     0           0
ALEXION PHARMACEUTICALS INC    COM            015351109      1,655,910      43,970       X     28-4635         0     0       43970
ALEXION PHARMACEUTICALS INC    COM            015351109        748,823      19,887       X     28-12020    19887     0           0
ALEXZA PHARMACEUTICALS INC     COM            015384100         24,310      11,000       X     28-12020        0     0       11000
ALFACELL CORP COM DELET        ED             015404106         14,000     100,000       X     28-12020   100000     0           0
ALIGN TECHNOLOGY INC           COM            016255101        225,609      28,450       X     28-4635         0     0       28450
ALIGN TECHNOLOGY INC           COM            016255101        826,000     104,185       X     28-12020   104185     0           0
ALKERMES INC                   COM            01642T108         23,000       1,863       X     28-12020     1863     0           0
ALLEGHANY CORP DEL             COM            017175100         32,770         121       X     28-4635         0     0         121
ALLEGHANY CORP DEL             COM            017175100         25,000          91       X     28-12020       91     0           0
ALLEGHENY ENERGY INC           COM            017361106        272,919      11,779       X     28-4635         0     0       11779
ALLEGHENY ENERGY INC           COM            017361106        442,464      19,088       X     28-12020    14414     0        4674
ALLEGHENY TECHNOLOGIES INC     COM            01741R102        173,620       7,917       X     28-4635         0     0        7917
ALLEGHENY TECHNOLOGIES INC     COM            01741R102        211,154       9,623       X     28-12020     9172     0         451
ALLERGAN INC                   COM            018490102      1,450,137      30,363       X     28-4635         0     0       30363
ALLERGAN INC                   COM            018490102     30,214,892     632,638       X     28-12020   616942     0       15696
ALLETE INC                     COM NEW        018522300         44,537       1,660       X     28-12020     1108     0         552
ALLIANCE DATA SYSTEMS C ORP    COM            018581108        109,778       2,971       X     28-4635         0     0        2971
ALLIANCE DATA SYSTEMS C ORP    COM            018581108        188,800       5,118       X     28-12020     5118     0           0
ALLIANCE ONE INTL INC          COM            018772103         81,408      21,200       X     28-4635         0     0       21200







                                                                                                                  FILE NO. 28-1235
PAGE 242 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                      ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
ALLIANCE RES PARTNER L P       UT LTD PART    01877R108         66,814       2,296       X     28-12020     2296     0           0
ALLIANCEBERNSTEIN GBL H GH IN  COM            01879R106        123,886      14,944       X     28-12020    14944     0           0
ALLIANCEBERNSTEIN HOLDI NG LP  UNIT LTD PARTN 01881G106        389,270      26,445       X     28-12020    16445     0       10000
ALLIANCEBERNSTEIN INCOM E FUN  COM            01881E101        240,861      33,734       X     28-12020    33734     0           0
ALLIANCEBERNSTEIN NATL MUNI    COM            01864U106         18,144       1,600       X     28-12020     1600     0           0
ALLIANT ENERGY CORP            COM            018802108        154,265       6,229       X     28-12020     5637     0         592
ALLIANT TECHSYSTEMS INC        COM            018804104         63,572         948       X     28-12020      948     0           0
ALLIANZ SE                     SP ADR 1/10 SH 018805101         12,740       1,524       X     28-12020     1524     0           0
ALLIED CAP CORP NEW            COM            01903Q108         13,120       8,034       X     28-12020     8034     0           0
ALLIED IRISH BKS P L C         SPON ADR ORD   019228402          1,860       1,200       X     28-12020     1200     0           0
ALLIED WRLD ASSUR COM H LDG L  SHS            G0219G203         53,242       1,400       X     28-4635         0     0        1400
ALLIED WRLD ASSUR COM H LDG L  SHS            G0219G203         55,015       1,445       X     28-12020     1445     0           0
ALLOS THERAPEUTICS INC         COM            019777101          7,000       1,146       X     28-12020     1146     0           0
ALLSCRIPT MISYS HEALTCA R SOL  COM            01988P108         15,435       1,500       X     28-4635         0     0        1500
ALLSCRIPT MISYS HEALTCA R SOL  COM            01988P108      1,424,580     138,483       X     28-12020   138483     0           0
ALLSTATE CORP                  COM            020002101      2,123,065     110,865       X     28-4635         0     0      110865
ALLSTATE CORP                  COM            020002101      5,195,201     271,297       X     28-12020   260499     0       10798
ALNYLAM PHARMACEUTICALS INC    COM            02043Q107          6,000         294       X     28-12020      294     0           0
ALON USA ENERGY INC            COM            020520102      1,332,325      97,250       X     28-4635         0     0       97250
ALON USA ENERGY INC            COM            020520102      2,369,000     172,908       X     28-12020   172908     0           0
ALPHA NATURAL RESOURCES INC    COM            02076X102         54,635       3,078       X     28-4635         0     0        3078
ALPHA NATURAL RESOURCES INC    COM            02076X102         40,300       2,279       X     28-12020     2279     0           0
ALPINE GLOBAL PREMIER P PTYS   COM SBI        02083A103          6,615       2,250       X     28-12020     2250     0           0
ALPINE TOTAL DYNAMIC DI VID F  COM SBI        021060108          6,678       1,163       X     28-12020     1163     0           0
ALTAIR NANOTECHNOLOGIES INC    COM            021373105          1,060       1,000       X     28-12020     1000     0           0
ALTERA CORP                    COM            021441100        401,737      22,891       X     28-4635         0     0       22891
ALTERA CORP                    COM            021441100        293,351      16,732       X     28-12020    16732     0           0
ALTRA HOLDINGS INC             COM            02208R106          9,312       2,400       X     28-4635         0     0        2400
ALTRIA GROUP INC               COM            02209S103      2,661,531     166,138       X     28-4635         0     0      166138
ALTRIA GROUP INC               COM            02209S103     18,556,578   1,158,318       X     28-12020   992342     0      165976
ALVARION LTD                   SHS            M0861T100          5,296       1,600       X     28-4635         0     0        1600
AMAG PHARMACEUTICALS IN C      COM            00163U106         14,000         370       X     28-12020      370     0           0
AMAZON COM INC                 COM            023135106      2,303,446      31,365       X     28-4635         0     0       31365
AMAZON COM INC                 COM            023135106      1,532,799      20,873       X     28-12020    20223     0         650
AMB PROPERTY CORP              COM            00163T109         21,000       1,426       X     28-12020     1426     0           0
AMBAC FINL GROUP INC           COM            023139108          5,000       6,528       X     28-12020     6528     0           0
AMBASSADORS GROUP INC          COM            023177108              0          36       X     28-12020       36     0           0
AMCOL INTL CORP                COM            02341W103          7,697         520       X     28-12020      520     0           0
AMDOCS LTD                     ORD            G02602103      3,668,386     198,077       X     28-4635         0     0      198077
AMDOCS LTD                     ORD            G02602103      3,504,541     189,220       X     28-12020   188337     0         883
AMEDISYS INC                   COM            023436108        614,402      22,350       X     28-4635         0     0       22350
AMEDISYS INC                   COM            023436108      1,032,539      37,576       X     28-12020    37576     0           0
AMERCO                         COM            023586100        194,474       5,800       X     28-4635         0     0        5800
AMERCO                         COM            023586100        529,000      15,788       X     28-12020    15788     0           0
AMEREN CORP                    COM            023608102        212,583       9,167       X     28-4635         0     0        9167
AMEREN CORP                    COM            023608102        691,397      29,820       X     28-12020    26408     0        3412
AMERIANA BANCORP               COM            023613102          3,080       1,100       X     28-12020     1100     0           0
AMERICA MOVIL SAB DE CV        SPON ADR L SHS 02364W105         54,160       2,000       X     28-4635         0     0        2000
AMERICA MOVIL SAB DE CV        SPON ADR L SHS 02364W105        370,942      13,698       X     28-12020    13698     0           0
AMERICAN AXLE & MFG HLD GS IN  COM            024061103          1,000         434       X     28-12020      434     0           0
AMERICAN CAMPUS CMNTYS INC     COM            024835100          6,000         338       X     28-12020      338     0           0







                                                                                                                  FILE NO. 28-1235
PAGE 243 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                      ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
AMERICAN CAP LTD               COM            02503Y103         16,968       8,839       X     28-12020     8839     0           0
AMERICAN CAPITAL AGENCY CORP   COM            02503X105        203,609      11,900       X     28-4635         0     0       11900
AMERICAN CAPITAL AGENCY CORP   COM            02503X105        105,000       6,150       X     28-12020     6150     0           0
AMERICAN COMMERCIAL LIN ES     COM NEW        025195207          2,000         585       X     28-12020      585     0           0
AMERICAN EAGLE OUTFITTE RS NE  COM            02553E106        684,669      55,937       X     28-4635         0     0       55937
AMERICAN EAGLE OUTFITTE RS NE  COM            02553E106      3,973,112     324,580       X     28-12020   324580     0           0
AMERICAN ECOLOGY CORP          COM NEW        025533407         97,580       7,000       X     28-4635         0     0        7000
AMERICAN ELEC PWR INC          COM            025537101        448,416      17,752       X     28-4635         0     0       17752
AMERICAN ELEC PWR INC          COM            025537101      2,051,644      81,225       X     28-12020    78844     0        2381
AMERICAN EXPRESS CO            COM            025816109      1,069,532      78,469       X     28-4635         0     0       78469
AMERICAN EXPRESS CO            COM            025816109      6,008,858     440,822       X     28-12020   372016     0       68806
AMERICAN FINL GROUP INC OHIO   COM            025932104         14,445         900       X     28-4635         0     0         900
AMERICAN FINL GROUP INC OHIO   COM            025932104        445,930      27,758       X     28-12020    27758     0           0
AMERICAN GREETINGS CORP        CL A           026375105         14,319       2,911       X     28-12020     2911     0           0
AMERICAN INTL GROUP INC        COM            026874107        119,955     119,955       X     28-4635         0     0      119955
AMERICAN INTL GROUP INC        COM            026874107        253,338     253,226       X     28-12020   246186     0        7040
AMERICAN MED SYS HLDGS INC     COM            02744M108          6,000         569       X     28-12020      569     0           0
AMERICAN NATL BANKSHARE S INC  COM            027745108         10,920         700       X     28-12020      700     0           0
AMERICAN NATL INS CO           COM            028591105         17,000         328       X     28-12020      328     0           0
AMERICAN OIL & GAS INC NEW     COM            028723104          2,000       2,353       X     28-12020     2353     0           0
AMERICAN ORIENTAL BIOEN GR IN  COM            028731107          8,492       2,200       X     28-4635         0     0        2200
AMERICAN ORIENTAL BIOEN GR IN  COM            028731107              0         101       X     28-12020      101     0           0
AMERICAN PHYSICIANS CAP ITAL   COM            028884104        666,996      16,300       X     28-4635         0     0       16300
AMERICAN PHYSICIANS CAP ITAL   COM            028884104        425,000      10,374       X     28-12020    10374     0           0
AMERICAN PUBLIC EDUCATI ON IN  COM            02913V103         67,296       1,600       X     28-4635         0     0        1600
AMERICAN PUBLIC EDUCATI ON IN  COM            02913V103        193,000       4,596       X     28-12020     4596     0           0
AMERICAN REPROGRAPHICS CO      COM            029263100          2,124         637       X     28-12020      637     0           0
AMERICAN SCIENCE & ENGR INC    COM            029429107        117,180       2,100       X     28-12020      100     0        2000
AMERICAN STS WTR CO            COM            029899101        122,000       3,352       X     28-12020     3352     0           0
AMERICAN SUPERCONDUCTOR CORP   COM            030111108        239,685      13,852       X     28-12020     8852     0        5000
AMERICAN TOWER CORP            CL A           029912201     12,711,463     417,728       X     28-4635         0     0      417728
AMERICAN TOWER CORP            CL A           029912201      8,706,118     286,108       X     28-12020   285301     0         807
AMERICAN WOODMARK CORP         COM            030506109          9,000         500       X     28-12020      500     0           0
AMERICAN WTR WKS CO INC NEW    COM            030420103         63,140       3,304       X     28-12020     3304     0           0
AMERICREDIT CORP               COM            03060R101          8,000       1,307       X     28-12020     1307     0           0
AMERIGAS PARTNERS L P          UNIT L P INT   030975106         84,840       3,000       X     28-12020     2000     0        1000
AMERIGROUP CORP                COM            03073T102        115,668       4,200       X     28-4635         0     0        4200
AMERIGROUP CORP                COM            03073T102        453,000      16,455       X     28-12020    16455     0           0
AMERIPRISE FINL INC            COM            03076C106        196,151       9,573       X     28-4635         0     0        9573
AMERIPRISE FINL INC            COM            03076C106        935,591      45,666       X     28-12020    35271     0       10395
AMERIS BANCORP                 COM            03076K108          3,000         634       X     28-12020      634     0           0
AMERISAFE INC                  COM            03071H100        412,491      26,925       X     28-4635         0     0       26925
AMERISAFE INC                  COM            03071H100      1,758,000     114,770       X     28-12020   114770     0           0
AMERISOURCEBERGEN CORP         COM            03073E105        461,453      14,129       X     28-4635         0     0       14129
AMERISOURCEBERGEN CORP         COM            03073E105        318,371       9,742       X     28-12020     9742     0           0
AMERISTAR CASINOS INC          COM            03070Q101            465          37       X     28-12020       37     0           0
AMERON INTL INC                COM            030710107         10,000         191       X     28-12020      191     0           0
AMETEK INC NEW                 COM            031100100        369,424      11,814       X     28-4635         0     0       11814
AMETEK INC NEW                 COM            031100100      4,464,981     142,803       X     28-12020   142803     0           0
AMGEN INC                      COM            031162100      9,597,719     193,815       X     28-4635         0     0      193815
AMGEN INC                      COM            031162100     42,301,308     854,229       X     28-12020   828087     0       26142







                                                                                                                  FILE NO. 28-1235
PAGE 244 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                      ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
AMICUS THERAPEUTICS INC        COM            03152W109          5,000         506       X     28-12020      506     0           0
AMKOR TECHNOLOGY INC           COM            031652100         23,134       8,600       X     28-4635         0     0        8600
AMKOR TECHNOLOGY INC           COM            031652100          8,000       3,011       X     28-12020     3011     0           0
AMN HEALTHCARE SERVICES INC    COM            001744101          8,160       1,600       X     28-4635         0     0        1600
AMN HEALTHCARE SERVICES INC    COM            001744101          5,000         913       X     28-12020      913     0           0
AMPHENOL CORP NEW              CL A           032095101        663,076      23,274       X     28-4635         0     0       23274
AMPHENOL CORP NEW              CL A           032095101        278,587       9,777       X     28-12020     9777     0           0
AMR CORP                       COM            001765106         13,876       4,350       X     28-4635         0     0        4350
AMR CORP                       COM            001765106         11,000       3,360       X     28-12020     3360     0           0
AMREP CORP NEW                 COM            032159105          3,000         186       X     28-12020      186     0           0
AMSURG CORP                    COM            03232P405        802,406      50,625       X     28-4635         0     0       50625
AMSURG CORP                    COM            03232P405      1,684,000     106,219       X     28-12020   106219     0           0
AMTRUST FINANCIAL SERVI CES I  COM            032359309              0          17       X     28-12020       17     0           0
AMYLIN PHARMACEUTICALS INC     COM            032346108         54,579       4,645       X     28-4635         0     0        4645
AMYLIN PHARMACEUTICALS INC     COM            032346108         56,316       4,818       X     28-12020     4818     0           0
ANADARKO PETE CORP             COM            032511107     12,598,532     323,953       X     28-4635         0     0      323953
ANADARKO PETE CORP             COM            032511107     12,274,095     315,617       X     28-12020   304086     0       11531
ANADIGICS INC                  COM            032515108          6,003       2,900       X     28-4635         0     0        2900
ANADIGICS INC                  COM            032515108              0         138       X     28-12020      138     0           0
ANALOG DEVICES INC             COM            032654105        421,628      21,880       X     28-4635         0     0       21880
ANALOG DEVICES INC             COM            032654105        745,044      38,683       X     28-12020    35558     0        3125
ANALOGIC CORP                  COM PAR $0.05  032657207         67,242       2,100       X     28-4635         0     0        2100
ANALOGIC CORP                  COM PAR $0.05  032657207         35,818       1,120       X     28-12020     1120     0           0
ANAREN INC                     COM            032744104          9,000         810       X     28-12020      810     0           0
ANDERSONS INC                  COM            034164103         87,668       6,200       X     28-4635         0     0        6200
ANDERSONS INC                  COM            034164103          4,000         311       X     28-12020      311     0           0
ANGIODYNAMICS INC              COM            03475V101        314,720      28,000       X     28-4635         0     0       28000
ANGIODYNAMICS INC              COM            03475V101          6,000         512       X     28-12020      512     0           0
ANGLO AMERN PLC                ADR NEW        03485P201        104,032      12,196       X     28-4635         0     0       12196
ANGLO AMERN PLC                ADR NEW        03485P201      4,175,460     489,503       X     28-12020   482798     0        6705
ANGLOGOLD ASHANTI LTD          SPONSORED ADR  035128206         26,982         734       X     28-12020      734     0           0
ANIXTER INTL INC               COM            035290105         82,368       2,600       X     28-4635         0     0        2600
ANIXTER INTL INC               COM            035290105        245,285       7,743       X     28-12020     7743     0           0
ANNALY CAP MGMT INC            COM            035710409        339,815      24,500       X     28-4635         0     0       24500
ANNALY CAP MGMT INC            COM            035710409        187,301      13,531       X     28-12020    12531     0        1000
ANNTAYLOR STORES CORP          COM            036115103          9,584       1,843       X     28-4635         0     0        1843
ANNTAYLOR STORES CORP          COM            036115103          7,000       1,381       X     28-12020     1381     0           0
ANSYS INC                      COM            03662Q105      1,944,648      77,476       X     28-4635         0     0       77476
ANSYS INC                      COM            03662Q105      3,755,455     149,610       X     28-12020   149610     0           0
ANTHRACITE CAP INC             COM            037023108         16,170      46,209       X     28-12020    45709     0         500
ANWORTH MORTGAGE ASSET CP      COM            037347101         15,000       2,454       X     28-12020     2454     0           0
AON CORP                       COM            037389103     15,118,830     370,378       X     28-4635         0     0      370378
AON CORP                       COM            037389103      9,342,421     228,861       X     28-12020   228336     0         525
APACHE CORP                    COM            037411105      7,632,926     119,097       X     28-4635         0     0      119097
APACHE CORP                    COM            037411105     35,456,506     553,225       X     28-12020   541862     0       11363
APARTMENT INVT & MGMT C O      CL A           03748R101         28,156       5,138       X     28-4635         0     0        5138
APARTMENT INVT & MGMT C O      CL A           03748R101         38,373       7,004       X     28-12020     7004     0           0
APEX SILVER MINES LTD ORD DELE ED             G04074103             14       1,700       X     28-12020     1700     0           0
APOGEE ENTERPRISES INC         COM            037598109         94,428       8,600       X     28-4635         0     0        8600
APOGEE ENTERPRISES INC         COM            037598109        329,000      29,973       X     28-12020    29973     0           0
APOLLO GROUP INC               CL A           037604105        753,613       9,621       X     28-4635         0     0        9621







                                                                                                                  FILE NO. 28-1235
PAGE 245 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                      ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
APOLLO GROUP INC               CL A           037604105        965,639      12,334       X     28-12020    12190     0         144
APOLLO INVT CORP               COM            03761U106         42,480      12,111       X     28-12020    12111     0           0
APPLE INC                      COM            037833100     22,003,508     209,318       X     28-4635         0     0      209318
APPLE INC                      COM            037833100     32,895,047     312,927       X     28-12020   307577     0        5350
APPLIED ENERGETICS INC         COM            03819M106          1,840       8,000       X     28-12020     8000     0           0
APPLIED INDL TECHNOLOGI ES IN  COM            03820C105         17,000         980       X     28-12020      980     0           0
APPLIED MATLS INC              COM            038222105      3,621,288     336,864       X     28-4635         0     0      336864
APPLIED MATLS INC              COM            038222105      4,597,424     427,659       X     28-12020   418029     0        9630
APPLIED MICRO CIRCUITS CORP    COM NEW        03822W406         21,384       4,400       X     28-4635         0     0        4400
APPLIED SIGNAL TECHNOLO GY IN  COM            038237103      1,017,569      50,300       X     28-4635         0     0       50300
APPLIED SIGNAL TECHNOLO GY IN  COM            038237103        958,000      47,360       X     28-12020    47360     0           0
APTARGROUP INC                 COM            038336103      2,357,609      75,710       X     28-4635         0     0       75710
APTARGROUP INC                 COM            038336103      3,364,788     108,068       X     28-12020   108068     0           0
AQUA AMERICA INC               COM            03836W103        336,000      16,800       X     28-4635         0     0       16800
AQUA AMERICA INC               COM            03836W103        501,640      25,100       X     28-12020    23234     0        1866
ARACRUZ CELULOSE S A           SPON ADR PFD B 038496204            125          19       X     28-12020       19     0           0
ARBITRON INC                   COM            03875Q108          4,000         244       X     28-12020      244     0           0
ARCA BIOPHARMA INC             COM            00211Y100            753         150       X     28-12020      150     0           0
ARCADIA RES INC                COM            039209101         15,471      35,930       X     28-12020    35930     0           0
ARCELORMITTAL SA LUXEMB OURG   NY REGISTRY SH 03938L104         74,148       3,700       X     28-4635         0     0        3700
ARCELORMITTAL SA LUXEMB OURG   NY REGISTRY SH 03938L104         13,527         675       X     28-12020      675     0           0
ARCH CAP GROUP LTD             ORD            G0450A105        263,914       4,900       X     28-4635         0     0        4900
ARCH CAP GROUP LTD             ORD            G0450A105         30,000         554       X     28-12020      554     0           0
ARCH CHEMICALS INC             COM            03937R102          6,000         324       X     28-12020      324     0           0
ARCH COAL INC                  COM            039380100      3,823,018     285,940       X     28-4635         0     0      285940
ARCH COAL INC                  COM            039380100      2,376,366     177,719       X     28-12020   177239     0         480
ARCHER DANIELS MIDLAND CO      COM            039483102        843,040      30,347       X     28-4635         0     0       30347
ARCHER DANIELS MIDLAND CO      COM            039483102      1,872,089      66,710       X     28-12020    62254     0        4456
ARENA RESOURCES INC            COM            040049108         14,752         588       X     28-12020      588     0           0
ARES CAP CORP                  COM            04010L103          2,000         461       X     28-12020      461     0           0
ARGO GROUP INTL HLDGS L T D    COM            G0464B107         18,871         632       X     28-12020      632     0           0
ARIBA INC                      COM NEW        04033V203         15,148       1,693       X     28-12020     1693     0           0
ARKANSAS BEST CORP DEL         COM            040790107          5,706         300       X     28-4635         0     0         300
ARKANSAS BEST CORP DEL         COM            040790107          2,000         105       X     28-12020      105     0           0
ARM HLDGS PLC                  SPONSORED ADR  042068106        499,000     112,800       X     28-12020   112800     0           0
ARMSTRONG WORLD INDS IN C NEW  COM            04247X102          5,505         500       X     28-4635         0     0         500
ARMSTRONG WORLD INDS IN C NEW  COM            04247X102          3,000         272       X     28-12020      272     0           0
ARRAY BIOPHARMA INC            COM            04269X105          6,000       2,205       X     28-12020     2205     0           0
ARRIS GROUP INC                COM            04269Q100        613,553      83,250       X     28-4635         0     0       83250
ARRIS GROUP INC                COM            04269Q100      1,597,432     216,768       X     28-12020   216768     0           0
ARROW ELECTRS INC              COM            042735100         83,864       4,400       X     28-4635         0     0        4400
ARROW ELECTRS INC              COM            042735100         40,000       2,123       X     28-12020     2123     0           0
ART TECHNOLOGY GROUP IN C      COM            04289L107          9,000       3,376       X     28-12020     3376     0           0
ARUBA NETWORKS INC             COM            043176106          5,000       1,543       X     28-12020     1543     0           0
ARVINMERITOR INC               COM            043353101          1,078       1,421       X     28-12020     1421     0           0
ASBURY AUTOMOTIVE GROUP INC    COM            043436104              0          51       X     28-12020       51     0           0
ASCENT MEDIA CORP              COM SER A      043632108          5,700         236       X     28-12020      233     0           3
ASHFORD HOSPITALITY TR INC     COM SHS        044103109          1,000         528       X     28-12020      528     0           0
ASHLAND INC NEW                COM            044209104         28,146       2,690       X     28-12020     2690     0           0
ASIA PAC FD INC                COM            044901106         55,759       8,950       X     28-12020     8950     0           0
ASIAINFO HLDGS INC             COM            04518A104          9,655         573       X     28-12020      573     0           0







                                                                                                                  FILE NO. 28-1235
PAGE 246 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                      ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
ASML HOLDING N V               NY REG SHS     N07059186      4,873,296     278,315       X     28-4635         0     0      278315
ASML HOLDING N V               NY REG SHS     N07059186      5,675,000     324,128       X     28-12020   324128     0           0
ASPEN INSURANCE HOLDING S LTD  SHS            G05384105        585,083      26,050       X     28-4635         0     0       26050
ASPEN INSURANCE HOLDING S LTD  SHS            G05384105      1,321,230      58,828       X     28-12020    58828     0           0
ASSOCIATED BANC CORP           COM            045487105         26,318       1,695       X     28-12020     1695     0           0
ASSOCIATED ESTATES RLTY CORP   COM            045604105         65,843      11,592       X     28-12020    11592     0           0
ASSURANT INC                   COM            04621X108        109,728       5,038       X     28-4635         0     0        5038
ASSURANT INC                   COM            04621X108      1,849,000      84,875       X     28-12020    84875     0           0
ASSURED GUARANTY LTD           COM            G0585R106          6,000         937       X     28-12020      937     0           0
ASTORIA FINL CORP              COM            046265104          6,433         700       X     28-4635         0     0         700
ASTORIA FINL CORP              COM            046265104          9,000         962       X     28-12020      962     0           0
ASTRAZENECA PLC                SPONSORED ADR  046353108         63,810       1,800       X     28-4635         0     0        1800
ASTRAZENECA PLC                SPONSORED ADR  046353108         65,441       1,846       X     28-12020     1846     0           0
AT&T INC                       COM            00206R102     13,427,089     532,821       X     28-4635         0     0      532821
AT&T INC                       COM            00206R102    150,694,604   5,979,960       X     28-12020  5807771     0      172189
AT&T INC                       COM            00206R102        258,000       4,200       X     28-12020     4200     0           0
ATC TECHNOLOGY CORP            COM            00211W104        152,320      13,600       X     28-4635         0     0       13600
ATC TECHNOLOGY CORP            COM            00211W104        409,000      36,500       X     28-12020    36500     0           0
ATHENAHEALTH INC               COM            04685W103          1,000          34       X     28-12020       34     0           0
ATHEROS COMMUNICATIONS INC     COM            04743P108         21,597       1,459       X     28-12020     1459     0           0
ATLANTIC TELE NETWORK I N C    COM NEW        049079205         55,335       2,868       X     28-12020     2868     0           0
ATLAS AIR WORLDWIDE HLD GS IN  COM NEW        049164205         15,615         900       X     28-4635         0     0         900
ATLAS AIR WORLDWIDE HLD GS IN  COM NEW        049164205          6,000         318       X     28-12020      318     0           0
ATLAS AMER INC                 COM            049167109        115,750      13,214       X     28-12020    13214     0           0
ATMEL CORP                     COM            049513104         29,000       7,899       X     28-12020     7899     0           0
ATMI INC                       COM            00207R101        100,295       6,500       X     28-4635         0     0        6500
ATMI INC                       COM            00207R101          4,000         257       X     28-12020      257     0           0
ATMOS ENERGY CORP              COM            049560105         74,339       3,196       X     28-12020     2196     0        1000
ATP OIL & GAS CORP             COM            00208J108        329,397      64,210       X     28-4635         0     0       64210
ATP OIL & GAS CORP             COM            00208J108        597,000     116,314       X     28-12020   116314     0           0
ATRION CORP                    COM            049904105          9,000         100       X     28-12020      100     0           0
ATWOOD OCEANICS INC            COM            050095108      1,114,715      67,192       X     28-4635         0     0       67192
ATWOOD OCEANICS INC            COM            050095108      2,118,544     127,689       X     28-12020   127689     0           0
AU OPTRONICS CORP              SPONSORED ADR  002255107          9,129       1,088       X     28-12020     1088     0           0
AUTODESK INC                   COM            052769106        322,819      19,204       X     28-4635         0     0       19204
AUTODESK INC                   COM            052769106        357,000      21,236       X     28-12020    21236     0           0
AUTOLIV INC                    COM            052800109        903,245      48,640       X     28-4635         0     0       48640
AUTOLIV INC                    COM            052800109      3,825,110     206,003       X     28-12020   199452     0        6551
AUTOMATIC DATA PROCESSI NG IN  COM            053015103      4,297,818     122,236       X     28-4635         0     0      122236
AUTOMATIC DATA PROCESSI NG IN  COM            053015103     58,696,346   1,669,404       X     28-12020  1626627     0       42777
AUTONATION INC                 COM            05329W102         65,139       4,693       X     28-4635         0     0        4693
AUTONATION INC                 COM            05329W102        128,672       9,282       X     28-12020     9282     0           0
AUTOZONE INC                   COM            053332102        682,679       4,198       X     28-4635         0     0        4198
AUTOZONE INC                   COM            053332102        529,020       3,255       X     28-12020     3255     0           0
AUXILIUM PHARMACEUTICAL S INC  COM            05334D107         18,000         664       X     28-12020      664     0           0
AVALONBAY CMNTYS INC           COM            053484101        163,204       3,468       X     28-4635         0     0        3468
AVALONBAY CMNTYS INC           COM            053484101      1,603,353      34,061       X     28-12020    33236     0         825
AVANEX CORP                    COM NEW        05348W307            186         226       X     28-12020      120     0         106
AVATAR HLDGS INC               COM            053494100          2,000         112       X     28-12020      112     0           0
AVERY DENNISON CORP            COM            053611109        109,868       4,918       X     28-4635         0     0        4918
AVERY DENNISON CORP            COM            053611109        512,719      22,945       X     28-12020    22945     0           0







                                                                                                                  FILE NO. 28-1235
PAGE 247 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                      ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
AVIS BUDGET GROUP              COM            053774105            382         420       X     28-12020      420     0           0
AVISTA CORP                    COM            05379B107          9,991         725       X     28-4635         0     0         725
AVISTA CORP                    COM            05379B107        934,000      67,765       X     28-12020    67765     0           0
AVNET INC                      COM            053807103         62,826       3,588       X     28-4635         0     0        3588
AVNET INC                      COM            053807103         44,000       2,489       X     28-12020     2489     0           0
AVOCENT CORP                   COM            053893103        772,104      63,600       X     28-4635         0     0       63600
AVOCENT CORP                   COM            053893103        696,000      57,338       X     28-12020    57338     0           0
AVON PRODS INC                 COM            054303102        626,417      32,575       X     28-4635         0     0       32575
AVON PRODS INC                 COM            054303102      1,762,241      91,617       X     28-12020    90879     0         738
AVX CORP NEW                   COM            002444107        123,488      13,600       X     28-4635         0     0       13600
AVX CORP NEW                   COM            002444107        318,000      35,030       X     28-12020    35030     0           0
AXA                            SPONSORED ADR  054536107        108,419       9,050       X     28-4635         0     0        9050
AXA                            SPONSORED ADR  054536107         13,729       1,146       X     28-12020     1146     0           0
AXCELIS TECHNOLOGIES IN C      COM            054540109          2,108       5,547       X     28-12020     1847     0        3700
AXIS CAPITAL HOLDINGS          SHS            G0692U109         19,159         850       X     28-4635         0     0         850
AXIS CAPITAL HOLDINGS          SHS            G0692U109         55,000       2,423       X     28-12020     2423     0           0
AXSYS TECHNOLOGIES INC         COM            054615109        150,020       3,571       X     28-12020     3571     0           0
AZZ INC                        COM            002474104         11,000         433       X     28-12020      433     0           0
B & G FOODS INC NEW            UNIT
                               99/99/9999     05508R205          6,594         600       X     28-12020      600     0           0
BADGER METER INC               COM            056525108          5,000         170       X     28-12020      170     0           0
BAIDU INC                      SPON ADR REP A 056752108         28,256         160       X     28-12020      160     0           0
BAKER HUGHES INC               COM            057224107        838,000      29,352       X     28-4635         0     0       29352
BAKER HUGHES INC               COM            057224107        660,531      23,149       X     28-12020    19881     0        3268
BAKER MICHAEL CORP             COM            057149106        510,250      19,625       X     28-4635         0     0       19625
BAKER MICHAEL CORP             COM            057149106        888,000      34,138       X     28-12020    34138     0           0
BALCHEM CORP                   COM            057665200      2,523,555     100,420       X     28-4635         0     0      100420
BALCHEM CORP                   COM            057665200      5,351,000     212,930       X     28-12020   212930     0           0
BALDOR ELEC CO                 COM            057741100          6,000         415       X     28-12020      415     0           0
BALDWIN & LYONS INC            CL B           057755209         33,488       1,769       X     28-12020     1769     0           0
BALL CORP                      COM            058498106        317,167       7,308       X     28-4635         0     0        7308
BALL CORP                      COM            058498106        320,782       7,383       X     28-12020     7383     0           0
BALLARD PWR SYS INC NEW        COM            058586108            357         223       X     28-12020      223     0           0
BALLY TECHNOLOGIES INC         COM            05874B107          9,000         500       X     28-12020      500     0           0
BANCFIRST CORP                 COM            05945F103        174,720       4,800       X     28-4635         0     0        4800
BANCFIRST CORP                 COM            05945F103        472,000      12,957       X     28-12020    12957     0           0
BANCO BILBAO VIZCAYA AR GENTA  SPONSORED ADR  05946K101         93,902      11,550       X     28-4635         0     0       11550
BANCO BILBAO VIZCAYA AR GENTA  SPONSORED ADR  05946K101        134,381      16,529       X     28-12020    16529     0           0
BANCO BRADESCO S A             SP ADR PFD NEW 059460303         39,600       4,000       X     28-4635         0     0        4000
BANCO LATINOAMERICANO D E EXP  CL E           P16994132        235,655      25,150       X     28-4635         0     0       25150
BANCO LATINOAMERICANO D E EXP  CL E           P16994132        483,000      51,499       X     28-12020    51499     0           0
BANCO SANTANDER SA             ADR            05964H105        108,330      15,700       X     28-4635         0     0       15700
BANCO SANTANDER SA             ADR            05964H105         68,179       9,881       X     28-12020     9881     0           0
BANCOLOMBIA S A                SPON ADR PREF  05968L102        149,919       7,700       X     28-4635         0     0        7700
BANCOLOMBIA S A                SPON ADR PREF  05968L102        563,000      28,927       X     28-12020    28927     0           0
BANCORPSOUTH INC               COM            059692103        490,782      23,550       X     28-4635         0     0       23550
BANCORPSOUTH INC               COM            059692103        909,000      43,599       X     28-12020    43599     0           0
BANK HAWAII CORP               COM            062540109         96,907       2,943       X     28-12020     2943     0           0
BANK MUTUAL CORP NEW           COM            063750103          2,000         244       X     28-12020      244     0           0
BANK NOVA SCOTIA HALIFA X      COM            064149107            490          20       X     28-12020       20     0           0
BANK OF AMERICA CORPORA TION   COM            060505104      2,101,426     308,127       X     28-4635         0     0      308127
BANK OF AMERICA CORPORA TION   COM            060505104      6,257,585     917,586       X     28-12020   892969     0       24617







                                                                                                                  FILE NO. 28-1235
PAGE 248 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                      ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
BANK OF NEW YORK MELLON CORP   COM            064058100      6,797,515     240,620       X     28-4635         0     0      240620
BANK OF NEW YORK MELLON CORP   COM            064058100      5,518,881     195,342       X     28-12020   189443     0        5899
BANK OF THE OZARKS INC         COM            063904106      1,632,910      70,750       X     28-4635         0     0       70750
BANK OF THE OZARKS INC         COM            063904106      2,956,232     128,096       X     28-12020   128096     0           0
BANKATLANTIC BANCORP           CL A NEW       065908600            402         200       X     28-12020        0     0         200
BANKFINANCIAL CORP             COM            06643P104          8,000         769       X     28-12020      769     0           0
BANNER CORP                    COM            06652V109          1,000         448       X     28-12020      448     0           0
BARCLAYS BANK PLC              ADS7.75%PFD S4 06739H511         59,277       4,765       X     28-12020     4765     0           0
BARCLAYS BANK PLC              SP ADR 7.1%PF3 06739H776         94,770       8,100       X     28-12020     8100     0           0
BARCLAYS BK PLC                DJAIG CMDT ETN 06738C778        254,253       7,693       X     28-12020     7693     0           0
BARCLAYS BK PLC                ETN IPTH COPR  06739F101          2,587         100       X     28-12020      100     0           0
BARCLAYS PLC                   ADR            06738E204         11,323       1,332       X     28-12020     1332     0           0
BARD C R INC                   COM            067383109        524,637       6,581       X     28-4635         0     0        6581
BARD C R INC                   COM            067383109      1,548,234      19,417       X     28-12020    15715     0        3702
BARE ESCENTUALS INC            COM            067511105              0          25       X     28-12020       25     0           0
BARNES & NOBLE INC             COM            067774109         12,828         600       X     28-4635         0     0         600
BARNES & NOBLE INC             COM            067774109         20,000         940       X     28-12020      940     0           0
BARNES GROUP INC               COM            067806109         59,864       5,600       X     28-4635         0     0        5600
BARNES GROUP INC               COM            067806109          4,428         444       X     28-12020      444     0           0
BARNWELL INDS INC              COM            068221100          1,616         400       X     28-12020      400     0           0
BARRETT BILL CORP              COM            06846N104          7,000         295       X     28-12020      295     0           0
BARRICK GOLD CORP              COM            067901108      2,491,963      76,865       X     28-4635         0     0       76865
BARRICK GOLD CORP              COM            067901108      5,644,210     174,105       X     28-12020   166675     0        7430
BASIC ENERGY SVCS INC N E W    COM            06985P100          7,000       1,096       X     28-12020     1096     0           0
BAXTER INTL INC                COM            071813109     11,724,770     228,910       X     28-4635         0     0      228910
BAXTER INTL INC                COM            071813109     26,566,351     518,678       X     28-12020   505408     0       13270
BB&T CORP                      COM            054937107        465,909      27,536       X     28-4635         0     0       27536
BB&T CORP                      COM            054937107      1,492,560      88,194       X     28-12020    86114     0        2080
BCE INC                        COM NEW        05534B760         47,760       2,400       X     28-4635         0     0        2400
BCE INC                        COM NEW        05534B760      1,313,718      66,016       X     28-12020    65559     0         457
BE AEROSPACE INC               COM            073302101        890,010     102,654       X     28-4635         0     0      102654
BE AEROSPACE INC               COM            073302101      1,585,000     182,827       X     28-12020   182827     0           0
BEACON POWER CORP              COM            073677106        124,550     265,000       X     28-12020   265000     0           0
BEACON ROOFING SUPPLY I N C    COM            073685109          1,000         100       X     28-12020      100     0           0
BEAZER HOMES USA INC           COM            07556Q105          1,000       1,452       X     28-12020     1452     0           0
BEBE STORES INC                COM            075571109          6,000         893       X     28-12020      893     0           0
BECKMAN COULTER INC            COM            075811109        484,850       9,505       X     28-4635         0     0        9505
BECKMAN COULTER INC            COM            075811109      2,267,302      44,440       X     28-12020    44440     0           0
BECTON DICKINSON & CO          COM            075887109      1,197,948      17,816       X     28-4635         0     0       17816
BECTON DICKINSON & CO          COM            075887109      2,154,018      32,042       X     28-12020    30824     0        1218
BED BATH & BEYOND INC          COM            075896100        402,435      16,260       X     28-4635         0     0       16260
BED BATH & BEYOND INC          COM            075896100        393,888      15,914       X     28-12020    15914     0           0
BEL FUSE INC                   CL B           077347300          7,000         484       X     28-12020      484     0           0
BELDEN INC                     COM            077454106         12,000         977       X     28-12020      977     0           0
BELO CORP                      COM SER A      080555105          1,000         823       X     28-12020      823     0           0
BEMIS INC                      COM            081437105        107,933       5,147       X     28-4635         0     0        5147
BEMIS INC                      COM            081437105      1,779,149      84,839       X     28-12020    84739     0         100
BENCHMARK ELECTRS INC          COM            08160H101      1,302,560     116,300       X     28-4635         0     0      116300
BENCHMARK ELECTRS INC          COM            08160H101        795,000      70,980       X     28-12020    70980     0           0
BENEFICIAL MUTUAL BANCO RP IN  COM            08173R104        902,506      91,625       X     28-4635         0     0       91625
BENEFICIAL MUTUAL BANCO RP IN  COM            08173R104      1,932,000     196,125       X     28-12020   196125     0           0







                                                                                                                  FILE NO. 28-1235
PAGE 249 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                      ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
BERKLEY W R CORP               COM            084423102         50,760       2,251       X     28-4635         0     0        2251
BERKLEY W R CORP               COM            084423102         53,000       2,352       X     28-12020     2352     0           0
BERKSHIRE HATHAWAY INC DEL     CL A           084670108         86,700           1       X     28-4635         0     0           1
BERKSHIRE HATHAWAY INC DEL     CL A           084670108     15,259,200         176       X     28-12020      173     0           3
BERKSHIRE HATHAWAY INC DEL     CL B           084670207      4,534,560       1,608       X     28-4635         0     0        1608
BERKSHIRE HATHAWAY INC DEL     CL B           084670207     45,475,300      16,126       X     28-12020    15632     0         494
BERKSHIRE HILLS BANCORP INC    COM            084680107         41,256       1,800       X     28-4635         0     0        1800
BERKSHIRE HILLS BANCORP INC    COM            084680107          3,000         142       X     28-12020      142     0           0
BERRY PETE CO                  CL A           085789105         18,960       1,721       X     28-12020     1721     0           0
BEST BUY INC                   COM            086516101      1,596,142      42,048       X     28-4635         0     0       42048
BEST BUY INC                   COM            086516101      1,606,468      42,321       X     28-12020    42321     0           0
BGC PARTNERS INC               CL A           05541T101          2,000         719       X     28-12020      719     0           0
BHP BILLITON LTD               SPONSORED ADR  088606108      1,872,130      41,976       X     28-4635         0     0       41976
BHP BILLITON LTD               SPONSORED ADR  088606108      3,026,108      67,852       X     28-12020    67852     0           0
BHP BILLITON PLC               SPONSORED ADR  05545E209      1,463,350      37,000       X     28-4635         0     0       37000
BHP BILLITON PLC               SPONSORED ADR  05545E209          5,339         135       X     28-12020      135     0           0
BIG 5 SPORTING GOODS CO RP     COM            08915P101          5,000         770       X     28-12020      770     0           0
BIG LOTS INC                   COM            089302103        106,082       5,105       X     28-4635         0     0        5105
BIG LOTS INC                   COM            089302103        119,180       5,714       X     28-12020     5714     0           0
BIGBAND NETWORKS INC           COM            089750509         30,458       4,650       X     28-4635         0     0        4650
BIGBAND NETWORKS INC           COM            089750509      1,171,000     178,833       X     28-12020   178833     0           0
BIO RAD LABS INC               CL A           090572207        530,495       8,050       X     28-4635         0     0        8050
BIO RAD LABS INC               CL A           090572207      1,339,000      20,321       X     28-12020    20321     0           0
BIO-REFERENCE LABS INC         COM $.01 NEW   09057G602      1,900,928      90,910       X     28-4635         0     0       90910
BIO-REFERENCE LABS INC         COM $.01 NEW   09057G602      3,480,000     166,408       X     28-12020   166408     0           0
BIOGEN IDEC INC                COM            09062X103      1,202,358      22,937       X     28-4635         0     0       22937
BIOGEN IDEC INC                COM            09062X103      2,044,150      38,996       X     28-12020    38996     0           0
BIOMARIN PHARMACEUTICAL INC    COM            09061G101         15,000       1,182       X     28-12020     1182     0           0
BIOMED REALTY TRUST INC        COM            09063H107          8,000       1,213       X     28-12020     1213     0           0
BJ SVCS CO                     COM            055482103        127,589      12,823       X     28-4635         0     0       12823
BJ SVCS CO                     COM            055482103      3,476,075     349,402       X     28-12020   344066     0        5336
BJS WHOLESALE CLUB INC         COM            05548J106      1,399,563      43,750       X     28-4635         0     0       43750
BJS WHOLESALE CLUB INC         COM            05548J106        937,000      29,278       X     28-12020    29278     0           0
BLACK & DECKER CORP            COM            091797100         90,987       2,883       X     28-4635         0     0        2883
BLACK & DECKER CORP            COM            091797100        157,831       4,998       X     28-12020     4898     0         100
BLACK BOX CORP DEL             COM            091826107        959,747      40,650       X     28-4635         0     0       40650
BLACK BOX CORP DEL             COM            091826107        916,000      38,784       X     28-12020    38784     0           0
BLACK HILLS CORP               COM            092113109          8,945         500       X     28-4635         0     0         500
BLACK HILLS CORP               COM            092113109         13,945         760       X     28-12020      760     0           0
BLACKBAUD INC                  COM            09227Q100         24,381       2,100       X     28-4635         0     0        2100
BLACKBAUD INC                  COM            09227Q100          4,000         375       X     28-12020      375     0           0
BLACKBOARD INC                 COM            091935502         24,000         757       X     28-12020      757     0           0
BLACKROCK APEX MUN FD I N C    COM            09254H106         13,767       1,838       X     28-12020     1838     0           0
BLACKROCK CORE BD TR           SHS BEN INT    09249E101          8,240         800       X     28-12020        0     0         800
BLACKROCK DIVID ACHIEVR S TM   COM            09250N107         16,287       2,569       X     28-12020     2569     0           0
BLACKROCK ENHANCED DIV ACHV    COM            09251A104         12,760       2,000       X     28-12020     2000     0           0
BLACKROCK FLA MUN 2020 TERM    COM SHS        09250M109         16,875       1,500       X     28-12020     1500     0           0
BLACKROCK GBL EQTY INCO ME TR  COM            09255D104         10,147       1,390       X     28-12020     1390     0           0
BLACKROCK GLBL ENRGY & RES T   COM            09250U101          8,740         569       X     28-12020      569     0           0
BLACKROCK INC                  COM            09247X101        113,395         872       X     28-4635         0     0         872
BLACKROCK INC                  COM            09247X101        110,361         852       X     28-12020      852     0           0







                                                                                                                  FILE NO. 28-1235
PAGE 250 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                      ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
BLACKROCK INCOME OPP TR UST I  COM            092475102         15,998       1,820       X     28-12020     1820     0           0
BLACKROCK INSD MUN INCO ME TR  COM            092479104         58,227       5,050       X     28-12020     5050     0           0
BLACKROCK INSD MUN TERM TR I   COM            092474105         15,420       1,500       X     28-12020     1500     0           0
BLACKROCK INVT QLTY MUN TR     COM            09247B109         17,880       2,000       X     28-12020     2000     0           0
BLACKROCK INVT QUALITY MUN T   COM            09247D105        183,911      17,108       X     28-12020    17108     0           0
BLACKROCK LTD DURATION INC T   COM SHS        09249W101         61,350       5,000       X     28-12020        0     0        5000
BLACKROCK MUN 2020 TERM TR     COM SHS        09249X109         22,385       1,850       X     28-12020     1850     0           0
BLACKROCK MUNI INCOME T R II   COM            09249N101          6,040         587       X     28-12020      587     0           0
BLACKROCK MUNI INTER DR FD I   COM            09253X102         42,971       3,847       X     28-12020     3847     0           0
BLACKROCK MUNIC INCM IN VST T  SH BEN INT     09248H105         40,058       3,500       X     28-12020        0     0        3500
BLACKROCK MUNIHLDGS INS D FDI  COM            09254C107          5,210         500       X     28-12020      500     0           0
BLACKROCK MUNIVEST FD I I INC  COM            09253T101         25,925       2,500       X     28-12020     2500     0           0
BLACKROCK MUNIVEST FD I N C    COM            09253R105          3,765         500       X     28-12020      500     0           0
BLACKROCK MUNIYIELD FD INC     COM            09253W104         25,748       2,495       X     28-12020     2151     0         344
BLACKROCK MUNIYIELD INS INV    COM            09254T100         10,569       1,023       X     28-12020       23     0        1000
BLACKROCK MUNIYIELD INV ST FD  COM            09254R104         10,270       1,000       X     28-12020        0     0        1000
BLACKROCK MUNIYIELD MIC H INS  COM            09254W103         30,973       3,250       X     28-12020     1750     0        1500
BLACKROCK MUNIYIELD QUA LITY   COM            09254F100         45,800       4,000       X     28-12020     4000     0           0
BLACKROCK MUNIYIELD QUA LITY   COM            09254G108         24,025       2,500       X     28-12020     2500     0           0
BLACKROCK MUNYIELD INSD FD I   COM            09254E103         28,064       2,577       X     28-12020     2577     0           0
BLACKROCK PFD INCOME ST RATEG  COM            09255H105         14,152       2,900       X     28-12020     2900     0           0
BLACKROCK SR HIGH INCOM E FD   COM            09255T109         14,980       6,513       X     28-12020     6513     0           0
BLACKROCK STRATEGIC MUN TR     COM            09248T109          9,320       1,000       X     28-12020     1000     0           0
BLACKROCK WORLD INVT TR        COM SHS BN INT 09250K103         12,820       1,631       X     28-12020     1631     0           0
BLACKSTONE GROUP L P           COM UNIT LTD   09253U108          3,625         500       X     28-12020        0     0         500
BLDRS INDEX FDS TR             DEV MK 100 ADR 09348R102        120,186       8,283       X     28-12020     8283     0           0
BLDRS INDEX FDS TR             EMER MK 50 ADR 09348R300        108,848       3,974       X     28-12020     3974     0           0
BLOCK H & R INC                COM            093671105        467,792      25,717       X     28-4635         0     0       25717
BLOCK H & R INC                COM            093671105      2,824,318     155,282       X     28-12020   149232     0        6050
BLOUNT INTL INC NEW            COM            095180105              0          47       X     28-12020       47     0           0
BLUE NILE INC                  COM            09578R103          3,000          86       X     28-12020       86     0           0
BLYTH INC                      COM NEW        09643P207          6,000         238       X     28-12020      238     0           0
BMC SOFTWARE INC               COM            055921100        649,605      19,685       X     28-4635         0     0       19685
BMC SOFTWARE INC               COM            055921100        875,456      26,516       X     28-12020    26516     0           0
BOARDWALK PIPELINE PART NERS   UT LTD PARTNER 096627104          8,960         400       X     28-12020      400     0           0
BOB EVANS FARMS INC            COM            096761101        109,343       4,891       X     28-12020     4891     0           0
BOEING CO                      COM            097023105      2,080,470      58,473       X     28-4635         0     0       58473
BOEING CO                      COM            097023105      2,906,310      81,681       X     28-12020    80060     0        1621
BOK FINL CORP                  COM NEW        05561Q201         91,487       2,648       X     28-12020     2648     0           0
BOLT TECHNOLOGY CORP           COM            097698104          7,999       1,125       X     28-4635         0     0        1125
BOLT TECHNOLOGY CORP           COM            097698104        718,000     100,975       X     28-12020   100975     0           0
BORGWARNER INC                 COM            099724106         40,397       1,990       X     28-4635         0     0        1990
BORGWARNER INC                 COM            099724106      2,506,567     123,470       X     28-12020   121015     0        2455
BOSTON BEER INC                CL A           100557107            688          33       X     28-12020       33     0           0
BOSTON PRIVATE FINL HLD GS IN  COM            101119105          2,000         572       X     28-12020      572     0           0
BOSTON PROPERTIES INC          COM            101121101        186,149       5,314       X     28-4635         0     0        5314
BOSTON PROPERTIES INC          COM            101121101        290,669       8,303       X     28-12020     7403     0         900
BOSTON SCIENTIFIC CORP         COM            101137107        524,358      65,957       X     28-4635         0     0       65957
BOSTON SCIENTIFIC CORP         COM            101137107        724,152      91,127       X     28-12020    89352     0        1775
BOTTOMLINE TECH DEL INC        COM            101388106          5,000         826       X     28-12020      826     0           0
BOWNE & CO INC                 COM            103043105          4,000       1,257       X     28-12020     1257     0           0







                                                                                                                  FILE NO. 28-1235
PAGE 251 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                      ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
BOYD GAMING CORP               COM            103304101          4,368       1,171       X     28-4635         0     0        1171
BP PLC                         SPONSORED ADR  055622104      2,917,596      72,758       X     28-4635         0     0       72758
BP PLC                         SPONSORED ADR  055622104    122,844,359   3,063,446       X     28-12020  2934166     0      129280
BP PLC                         SPONSORED ADR  055622104      2,181,500      12,600       X     28-12020    12600     0           0
BP PRUDHOE BAY RTY TR          UNIT BEN INT   055630107         91,154       1,400       X     28-4635         0     0        1400
BP PRUDHOE BAY RTY TR          UNIT BEN INT   055630107        283,044       4,350       X     28-12020     4350     0           0
BPZ RESOURCES INC              COM            055639108          4,000       1,050       X     28-12020     1050     0           0
BRADY CORP                     CL A           104674106         35,445       2,000       X     28-12020     2000     0           0
BRANDYWINE RLTY TR             SH BEN INT NEW 105368203          6,067       2,277       X     28-12020     1587     0         690
BRASIL TELECOM PARTICIP ACOES  SPON ADR PFD   105530109         14,448         400       X     28-4635         0     0         400
BRE PROPERTIES INC             CL A           05564E106         82,446       4,200       X     28-4635         0     0        4200
BRE PROPERTIES INC             CL A           05564E106        249,815      12,701       X     28-12020    12701     0           0
BRIGGS & STRATTON CORP         COM            109043109         59,671       3,610       X     28-12020     3610     0           0
BRIGHTPOINT INC                COM NEW        109473405          6,284       1,425       X     28-12020     1125     0         300
BRINKER INTL INC               COM            109641100         52,608       3,484       X     28-4635         0     0        3484
BRINKER INTL INC               COM            109641100         43,288       2,838       X     28-12020     2838     0           0
BRINKS CO                      COM            109696104      1,091,025      41,233       X     28-4635         0     0       41233
BRINKS CO                      COM            109696104        490,386      18,525       X     28-12020    16525     0        2000
BRINKS HOME SEC HLDGS I N C    COM            109699108         23,346       1,033       X     28-4635         0     0        1033
BRINKS HOME SEC HLDGS I N C    COM            109699108         13,961         625       X     28-12020      625     0           0
BRISTOL MYERS SQUIBB CO        COM            110122108     11,687,415     533,185       X     28-4635         0     0      533185
BRISTOL MYERS SQUIBB CO        COM            110122108     77,524,942   3,536,730       X     28-12020  3477707     0       59023
BRISTOL MYERS SQUIBB CO        COM            110122108      1,052,700      13,700       X     28-12020    13700     0           0
BRISTOW GROUP INC              COM            110394103          9,000         414       X     28-12020      414     0           0
BRITISH AMERN TOB PLC          SPONSORED ADR  110448107            644          14       X     28-12020       14     0           0
BROADCOM CORP                  CL A           111320107      1,072,027      53,655       X     28-4635         0     0       53655
BROADCOM CORP                  CL A           111320107        504,361      25,247       X     28-12020    24822     0         425
BROADRIDGE FINL SOLUTIO NS IN  COM            11133T103        177,819       9,555       X     28-4635         0     0        9555
BROADRIDGE FINL SOLUTIO NS IN  COM            11133T103      1,448,232      77,814       X     28-12020    71389     0        6425
BROCADE COMMUNICATIONS SYS I   COM NEW        111621306         17,000       4,948       X     28-12020     4948     0           0
BRONCO DRILLING CO INC         COM            112211107          5,000       1,041       X     28-12020     1041     0           0
BROOKDALE SR LIVING INC        COM            112463104         23,735       4,700       X     28-4635         0     0        4700
BROOKDALE SR LIVING INC        COM            112463104          3,000         568       X     28-12020      568     0           0
BROOKFIELD ASSET MGMT I N C    CL A LTD VT SH 112585104        888,824      64,501       X     28-12020     1201     0       63300
BROOKFIELD INFRAST PART NERS   LP INT UNIT    G16252101         26,473       2,004       X     28-12020        0     0        2004
BROOKLINE BANCORP INC D E L    COM            11373M107          9,000         931       X     28-12020      931     0           0
BROOKS AUTOMATION INC          COM            114340102          7,000       1,537       X     28-12020     1537     0           0
BROWN & BROWN INC              COM            115236101         26,814       1,418       X     28-4635         0     0        1418
BROWN & BROWN INC              COM            115236101         25,000       1,321       X     28-12020     1321     0           0
BROWN FORMAN CORP              CL A           115637100  1,085,744,352  27,075,919       X     28-12020 23406750     0     3669169
BROWN FORMAN CORP              CL B           115637209        335,996       8,653       X     28-4635         0     0        8653
BROWN FORMAN CORP              CL B           115637209  1,129,993,479  29,101,054       X     28-12020 22052489     0     7048565
BROWN SHOE INC NEW             COM            115736100          1,000         194       X     28-12020      194     0           0
BRUKER CORP                    COM            116794108          2,000         342       X     28-12020      342     0           0
BRUNSWICK CORP                 COM            117043109          3,500         890       X     28-12020      890     0           0
BRUSH ENGINEERED MATLS INC     COM            117421107         14,579       1,079       X     28-12020     1079     0           0
BT GROUP PLC                   ADR            05577E101         13,404       1,200       X     28-12020     1200     0           0
BUCKEYE GP HOLDINGS LP         COM UNITS LP   118167105        102,349       6,365       X     28-12020     6365     0           0
BUCKEYE PARTNERS L P           UNIT LTD PARTN 118230101        305,250       8,560       X     28-12020     7560     0        1000
BUCKEYE TECHNOLOGIES IN C      COM            118255108          7,242       3,400       X     28-4635         0     0        3400
BUCKEYE TECHNOLOGIES IN C      COM            118255108          3,000       1,461       X     28-12020     1461     0           0







                                                                                                                  FILE NO. 28-1235
PAGE 252 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                      ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
BUCKLE INC                     COM            118440106         20,000         618       X     28-12020      618     0           0
BUCYRUS INTL INC NEW           COM            118759109         79,543       5,240       X     28-4635         0     0        5240
BUCYRUS INTL INC NEW           COM            118759109         37,316       2,426       X     28-12020     2426     0           0
BUFFALO WILD WINGS INC         COM            119848109        537,726      14,700       X     28-4635         0     0       14700
BUFFALO WILD WINGS INC         COM            119848109        230,803       6,310       X     28-12020     6310     0           0
BUILD A BEAR WORKSHOP          COM            120076104          4,000         625       X     28-12020      625     0           0
BUNGE LIMITED                  COM            G16962105      5,644,040      99,630       X     28-4635         0     0       99630
BUNGE LIMITED                  COM            G16962105      2,364,563      41,742       X     28-12020    41492     0         250
BURGER KING HLDGS INC          COM            121208201         74,644       3,272       X     28-12020     3272     0           0
BURLINGTON NORTHN SANTA FE C   COM            12189T104      1,548,261      25,740       X     28-4635         0     0       25740
BURLINGTON NORTHN SANTA FE C   COM            12189T104      3,089,401      51,369       X     28-12020    48494     0        2875
BWAY HOLDING COMPANY           COM            12429T104         22,881       2,900       X     28-4635         0     0        2900
C D I CORP                     COM            125071100          1,000         143       X     28-12020      143     0           0
C H ROBINSON WORLDWIDE INC     COM NEW        12541W209        613,546      13,452       X     28-4635         0     0       13452
C H ROBINSON WORLDWIDE INC     COM NEW        12541W209        739,431      16,220       X     28-12020    15815     0         405
CA INC                         COM            12673P105        394,182      22,384       X     28-4635         0     0       22384
CA INC                         COM            12673P105        392,790      22,293       X     28-12020    22293     0           0
CABELAS INC                    COM            126804301          4,000         460       X     28-12020      460     0           0
CABLEVISION SYS CORP           CL A NY CABLVS 12686C109      6,679,719     516,207       X     28-4635         0     0      516207
CABLEVISION SYS CORP           CL A NY CABLVS 12686C109      7,122,000     550,365       X     28-12020   550365     0           0
CABOT CORP                     COM            127055101          7,000         643       X     28-12020      643     0           0
CABOT MICROELECTRONICS CORP    COM            12709P103         12,015         500       X     28-4635         0     0         500
CABOT MICROELECTRONICS CORP    COM            12709P103          2,000          70       X     28-12020       70     0           0
CABOT OIL & GAS CORP           COM            127097103        119,618       5,075       X     28-4635         0     0        5075
CABOT OIL & GAS CORP           COM            127097103        136,377       5,782       X     28-12020     5782     0           0
CACI INTL INC                  CL A           127190304        156,907       4,300       X     28-4635         0     0        4300
CACI INTL INC                  CL A           127190304        455,825      12,488       X     28-12020    12488     0           0
CADBURY PLC                    SPONS ADR      12721E102          5,818         192       X     28-12020      192     0           0
CADENCE DESIGN SYSTEM I N C    COM            127387108         18,000       4,315       X     28-12020     4315     0           0
CADIZ INC                      COM NEW        127537207         73,416       9,200       X     28-4635         0     0        9200
CAL DIVE INTL INC DEL          COM            12802T101          9,647       1,425       X     28-4635         0     0        1425
CAL DIVE INTL INC DEL          COM            12802T101        889,832     131,439       X     28-12020   131439     0           0
CAL MAINE FOODS INC            COM NEW        128030202        757,902      33,850       X     28-4635         0     0       33850
CAL MAINE FOODS INC            COM NEW        128030202        681,000      30,400       X     28-12020    30400     0           0
CALAMOS ASSET MGMT INC         CL A           12811R104          4,000         729       X     28-12020      729     0           0
CALAMOS CONV & HIGH INC OME F  COM SHS        12811P108          5,501         675       X     28-12020      675     0           0
CALAMOS CONV OPP AND IN C FD   SH BEN INT     128117108          9,018       1,045       X     28-12020     1045     0           0
CALAMOS GBL DYN INCOME FUND    COM            12811L107          2,741         503       X     28-12020        0     0         503
CALAMOS STRATEGIC TOTL RETN    COM SH BEN INT 128125101         17,070       3,000       X     28-12020        0     0        3000
CALGON CARBON CORP             COM            129603106         14,000         998       X     28-12020      998     0           0
CALIFORNIA PIZZA KITCHE N INC  COM            13054D109        102,024       7,800       X     28-4635         0     0        7800
CALIFORNIA PIZZA KITCHE N INC  COM            13054D109        266,000      20,350       X     28-12020    20350     0           0
CALIFORNIA WTR SVC GROU P      COM            130788102          4,000          98       X     28-12020       98     0           0
CALLAWAY GOLF CO               COM            131193104         12,000       1,733       X     28-12020     1733     0           0
CALLON PETE CO DEL             COM            13123X102              0         375       X     28-12020      375     0           0
CALPINE CORP                   COM NEW        131347304      3,340,278     490,496       X     28-4635         0     0      490496
CALPINE CORP                   COM NEW        131347304      3,744,043     549,733       X     28-12020   549733     0           0
CAMDEN NATL CORP               COM            133034108          6,855         300       X     28-12020      300     0           0
CAMDEN PPTY TR                 SH BEN INT     133131102         44,867       2,075       X     28-12020     2075     0           0
CAMECO CORP                    COM            13321L108         15,076         878       X     28-12020      878     0           0
CAMERON INTERNATIONAL C ORP    COM            13342B105        346,889      15,818       X     28-4635         0     0       15818







                                                                                                                  FILE NO. 28-1235
PAGE 253 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                      ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
CAMERON INTERNATIONAL C ORP    COM            13342B105        308,456      14,082       X     28-12020    13907     0         175
CAMPBELL SOUP CO               COM            134429109      1,861,711      68,045       X     28-4635         0     0       68045
CAMPBELL SOUP CO               COM            134429109      4,304,411     157,338       X     28-12020   157338     0           0
CANADIAN NAT RES LTD           COM            136385101         40,257       1,044       X     28-4635         0     0        1044
CANADIAN NAT RES LTD           COM            136385101          9,640         250       X     28-12020      250     0           0
CANADIAN NATL RY CO            COM            136375102         15,491         437       X     28-12020      437     0           0
CANADIAN PAC RY LTD            COM            13645T100         20,741         700       X     28-12020      700     0           0
CANADIAN SOLAR INC             COM            136635109          5,980       1,000       X     28-12020     1000     0           0
CANON INC                      ADR            138006309         56,609       1,950       X     28-4635         0     0        1950
CANON INC                      ADR            138006309         37,303       1,285       X     28-12020     1285     0           0
CANTEL MEDICAL CORP            COM            138098108        431,145      33,500       X     28-4635         0     0       33500
CANTEL MEDICAL CORP            COM            138098108        167,000      13,000       X     28-12020    13000     0           0
CAPELLA EDUCATION COMPA NY     COM            139594105        145,295       2,742       X     28-12020     2742     0           0
CAPITAL CITY BK GROUP I N C    COM            139674105              0           9       X     28-12020        9     0           0
CAPITAL ONE FINL CORP          COM            14040H105        234,053      19,122       X     28-4635         0     0       19122
CAPITAL ONE FINL CORP          COM            14040H105        311,247      25,422       X     28-12020    25172     0         250
CAPITAL SOUTHWEST CORP         COM            140501107         15,000         190       X     28-12020      190     0           0
CAPITAL TRUST INC MD           CL A NEW       14052H506          1,660       1,229       X     28-12020     1229     0           0
CAPITALSOURCE INC              COM            14055X102          3,000       2,078       X     28-12020     2078     0           0
CAPITOL FED FINL               COM            14057C106         22,000         575       X     28-12020      575     0           0
CAPLEASE INC                   COM            140288101              0          43       X     28-12020       43     0           0
CAPSTEAD MTG CORP              PFD A CV $1.60 14067E209          9,450         500       X     28-4635         0     0         500
CAPSTEAD MTG CORP              COM NO PAR     14067E506        136,398      12,700       X     28-4635         0     0       12700
CAPSTEAD MTG CORP              COM NO PAR     14067E506        362,740      33,730       X     28-12020    33730     0           0
CAPSTONE TURBINE CORP          COM            14067D102          3,440       4,966       X     28-12020     2966     0        2000
CARACO PHARMACEUTICAL L ABS L  COM            14075T107          3,000         722       X     28-12020      722     0           0
CARBO CERAMICS INC             COM            140781105         33,000       1,154       X     28-12020     1154     0           0
CARDIAC SCIENCE CORP           COM            14141A108        258,860      86,000       X     28-4635         0     0       86000
CARDIAC SCIENCE CORP           COM            14141A108        101,000      33,700       X     28-12020    33700     0           0
CARDICA INC                    COM            14141R101          3,638       1,250       X     28-12020     1250     0           0
CARDINAL HEALTH INC            COM            14149Y108        743,022      23,603       X     28-4635         0     0       23603
CARDINAL HEALTH INC            COM            14149Y108      1,039,745      33,013       X     28-12020    32613     0         400
CARDIONET INC                  COM            14159L103        150,121       5,350       X     28-4635         0     0        5350
CAREER EDUCATION CORP          COM            141665109         38,336       1,600       X     28-4635         0     0        1600
CAREER EDUCATION CORP          COM            141665109         24,000       1,019       X     28-12020     1019     0           0
CARLISLE COS INC               COM            142339100         28,464       1,450       X     28-4635         0     0        1450
CARLISLE COS INC               COM            142339100         49,935       2,535       X     28-12020     2535     0           0
CARMAX INC                     COM            143130102         72,003       5,788       X     28-4635         0     0        5788
CARMAX INC                     COM            143130102        344,488      27,674       X     28-12020    27674     0           0
CARNIVAL CORP                  PAIRED CTF     143658300        467,014      21,621       X     28-4635         0     0       21621
CARNIVAL CORP                  PAIRED CTF     143658300        637,511      29,524       X     28-12020    29444     0          80
CARPENTER TECHNOLOGY CO RP     COM            144285103         35,074       2,484       X     28-4635         0     0        2484
CARPENTER TECHNOLOGY CO RP     COM            144285103         13,000         901       X     28-12020      901     0           0
CARRIZO OIL & CO INC           COM            144577103          3,266         399       X     28-12020      399     0           0
CARTER INC                     COM            146229109        964,201      51,260       X     28-4635         0     0       51260
CARTER INC                     COM            146229109      1,760,000      93,569       X     28-12020    93569     0           0
CARVER BANCORP INC             COM            146875109          4,433       1,300       X     28-12020     1300     0           0
CASCADE BANCORP                COM            147154108              0          37       X     28-12020       37     0           0
CASCADE CORP                   COM            147195101          1,000          44       X     28-12020       44     0           0
CASELLA WASTE SYS INC          CL A           147448104            684         400       X     28-12020      400     0           0
CASEYS GEN STORES INC          COM            147528103         67,000       2,511       X     28-12020     2511     0           0







                                                                                                                  FILE NO. 28-1235
PAGE 254 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                      ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
CASH AMER INTL INC             COM            14754D100        527,742      33,700       X     28-4635         0     0       33700
CASH AMER INTL INC             COM            14754D100        648,000      41,388       X     28-12020    41388     0           0
CASTLE A M & CO                COM            148411101              0           7       X     28-12020        7     0           0
CATALYST HEALTH SOLUTIO NS IN  COM            14888B103         11,000         570       X     28-12020      570     0           0
CATERPILLAR INC DEL            COM            149123101      1,608,371      57,524       X     28-4635         0     0       57524
CATERPILLAR INC DEL            COM            149123101      6,524,729     233,360       X     28-12020   224976     0        8384
CATHAY GENERAL BANCORP         COM            149150104         10,000         978       X     28-12020      978     0           0
CATO CORP NEW                  CL A           149205106        562,110      30,750       X     28-4635         0     0       30750
CATO CORP NEW                  CL A           149205106        488,000      26,719       X     28-12020    26719     0           0
CB RICHARD ELLIS GROUP INC     CL A           12497T101         60,107      14,915       X     28-4635         0     0       14915
CB RICHARD ELLIS GROUP INC     CL A           12497T101         50,000      12,297       X     28-12020    12297     0           0
CBEYOND INC                    COM            149847105            640          34       X     28-12020       34     0           0
CBIZ INC                       COM            124805102      1,706,104     244,722       X     28-12020   244722     0           0
CBL & ASSOC PPTYS INC          COM            124830100          3,944       1,590       X     28-12020     1590     0           0
CBS CORP NEW                   CL B           124857202        118,257      30,796       X     28-4635         0     0       30796
CBS CORP NEW                   CL B           124857202        247,123      64,350       X     28-12020    60154     0        4196
CEC ENTMT INC                  COM            125137109         64,700       2,500       X     28-4635         0     0        2500
CEC ENTMT INC                  COM            125137109          8,000         320       X     28-12020      320     0           0
CECO ENVIRONMENTAL CORP        COM            125141101         88,800      30,000       X     28-12020    30000     0           0
CEDAR FAIR L P                 DEPOSITRY UNIT 150185106         13,935       1,500       X     28-4635         0     0        1500
CEDAR FAIR L P                 DEPOSITRY UNIT 150185106        447,220      48,140       X     28-12020    40390     0        7750
CEDAR SHOPPING CTRS INC        COM NEW        150602209              0          87       X     28-12020       87     0           0
CELADON GROUP INC              COM            150838100              0           9       X     28-12020        9     0           0
CELANESE CORP DEL              COM SER A      150870103         21,847       1,634       X     28-4635         0     0        1634
CELANESE CORP DEL              COM SER A      150870103         38,295       2,876       X     28-12020     2876     0           0
CELERA CORP                    COM            15100E106         14,000       1,796       X     28-12020     1796     0           0
CELGENE CORP                   COM            151020104      1,574,779      35,468       X     28-4635         0     0       35468
CELGENE CORP                   COM            151020104     18,083,737     407,292       X     28-12020   388648     0       18644
CELL GENESYS INC               COM            150921104            580       2,000       X     28-12020        0     0        2000
CELLCOM ISRAEL LTD             SHS            M2196U109        138,000       6,500       X     28-12020     6500     0           0
CEMEX SAB DE CV                SPON ADR NEW   151290889         36,901       5,904       X     28-12020     5904     0           0
CENTENE CORP DEL               COM            15135B101          7,000         363       X     28-12020      363     0           0
CENTERPOINT ENERGY INC         COM            15189T107        439,791      42,166       X     28-4635         0     0       42166
CENTERPOINT ENERGY INC         COM            15189T107        260,865      24,990       X     28-12020    24990     0           0
CENTEX CORP                    COM            152312104         40,838       5,445       X     28-4635         0     0        5445
CENTEX CORP                    COM            152312104         51,650       6,883       X     28-12020     6883     0           0
CENTRAL EUROPEAN DIST C ORP    COM            153435102         12,912       1,200       X     28-4635         0     0        1200
CENTRAL EUROPEAN DIST C ORP    COM            153435102          4,398         429       X     28-12020      429     0           0
CENTRAL EUROPEAN MEDIA ENTRP   CL A NEW       G20045202         10,646         929       X     28-4635         0     0         929
CENTRAL EUROPEAN MEDIA ENTRP   CL A NEW       G20045202          5,000         476       X     28-12020      476     0           0
CENTRAL FD CDA LTD             CL A           153501101        153,029      12,838       X     28-12020    12838     0           0
CENTRAL GARDEN & PET CO        CL A NON-VTG   153527205          7,000         900       X     28-12020      900     0           0
CENTRAL PAC FINL CORP          COM            154760102          1,000          97       X     28-12020       97     0           0
CENTRAL VT PUB SVC CORP        COM            155771108        342,540      19,800       X     28-4635         0     0       19800
CENTRAL VT PUB SVC CORP        COM            155771108        315,300      18,250       X     28-12020    18250     0           0
CENTURY ALUM CO                COM            156431108          1,317         389       X     28-12020      389     0           0
CENTURYTEL INC                 COM            156700106        190,963       6,791       X     28-4635         0     0        6791
CENTURYTEL INC                 COM            156700106        263,039       9,366       X     28-12020     9094     0         272
CENVEO INC                     COM            15670S105          1,000         344       X     28-12020      344     0           0
CEPHALON INC                   COM            156708109      8,719,252     128,036       X     28-4635         0     0      128036
CEPHALON INC                   COM            156708109      6,293,480      92,415       X     28-12020    92415     0           0







                                                                                                                  FILE NO. 28-1235
PAGE 255 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                      ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
CEPHEID                        COM            15670R107          8,243       1,239       X     28-12020     1239     0           0
CERADYNE INC                   COM            156710105        659,932      36,400       X     28-4635         0     0       36400
CERADYNE INC                   COM            156710105        756,308      41,707       X     28-12020    41707     0           0
CERNER CORP                    COM            156782104        107,902       2,454       X     28-4635         0     0        2454
CERNER CORP                    COM            156782104         46,660       1,057       X     28-12020     1057     0           0
CF INDS HLDGS INC              COM            125269100        306,286       4,306       X     28-4635         0     0        4306
CF INDS HLDGS INC              COM            125269100        204,000       2,861       X     28-12020     2861     0           0
CGG VERITAS                    SPONSORED ADR  204386106          5,770         500       X     28-12020      500     0           0
CH ENERGY GROUP INC            COM            12541M102         18,000         378       X     28-12020      378     0           0
CHAMPION ENTERPRISES IN C      COM            158496109          1,000       1,581       X     28-12020     1581     0           0
CHARLES RIV LABS INTL I N C    COM            159864107        282,440      10,380       X     28-4635         0     0       10380
CHARLES RIV LABS INTL I N C    COM            159864107         41,605       1,539       X     28-12020     1539     0           0
CHARLOTTE RUSSE HLDG IN C      COM            161048103          3,000         426       X     28-12020      426     0           0
CHART INDS INC                 COM PAR $0.01  16115Q308              0           5       X     28-12020        5     0           0
CHATTEM INC                    COM            162456107      1,996,221      35,615       X     28-4635         0     0       35615
CHATTEM INC                    COM            162456107      2,928,000      52,242       X     28-12020    52242     0           0
CHECK POINT SOFTWARE TE CH LT  ORD            M22465104      2,363,210     106,384       X     28-12020   106384     0           0
CHECKPOINT SYS INC             COM            162825103          7,000         736       X     28-12020      736     0           0
CHEESECAKE FACTORY INC         COM            163072101         11,450       1,000       X     28-4635         0     0        1000
CHEESECAKE FACTORY INC         COM            163072101          8,000         710       X     28-12020      710     0           0
CHEMED CORP NEW                COM            16359R103        389,000      10,000       X     28-4635         0     0       10000
CHEMED CORP NEW                COM            16359R103        530,000      13,630       X     28-12020    13630     0           0
CHEMICAL FINL CORP             COM            163731102         13,000         618       X     28-12020      618     0           0
CHEMTURA CORP                  COM            163893100            333       8,721       X     28-12020     8277     0         444
CHENIERE ENERGY INC            COM NEW        16411R208         11,000       2,482       X     28-12020     2482     0           0
CHEROKEE INC DEL NEW           COM            16444H102          5,000         299       X     28-12020      299     0           0
CHESAPEAKE ENERGY CORP         COM            165167107        602,491      35,316       X     28-4635         0     0       35316
CHESAPEAKE ENERGY CORP         COM            165167107      8,266,835     484,603       X     28-12020   475389     0        9214
CHESAPEAKE UTILS CORP          COM            165303108          6,858         225       X     28-4635         0     0         225
CHESAPEAKE UTILS CORP          COM            165303108        738,000      24,200       X     28-12020    24200     0           0
CHEVRON CORP NEW               COM            166764100     22,775,062     338,713       X     28-4635         0     0      338713
CHEVRON CORP NEW               COM            166764100    166,566,871   2,477,199       X     28-12020  2341446     0      135753
CHEVRON CORP NEW               COM            166764100        147,000       2,600       X     28-12020     2600     0           0
CHICAGO BRIDGE & IRON C O N V  Y REGISTRY SH  167250109         21,318       3,400       X     28-12020        0     0        3400
CHICOS FAS INC                 COM            168615102        144,243      26,802       X     28-12020    26802     0           0
CHILDRENS PL RETAIL STO RES I  COM            168905107          2,000         106       X     28-12020      106     0           0
CHIMERA INVT CORP              COM            16934Q109              0         147       X     28-12020      147     0           0
CHINA MED TECHNOLOGIES INC     SPONSORED ADR  169483104          1,983         144       X     28-12020      144     0           0
CHINA MOBILE LIMITED           SPONSORED ADR  16941M109        104,448       2,400       X     28-4635         0     0        2400
CHINA MOBILE LIMITED           SPONSORED ADR  16941M109        119,680       2,750       X     28-12020     2500     0         250
CHINA PETE & CHEM CORP         SPON ADR H SHS 16941R108          8,086         126       X     28-12020      126     0           0
CHINA SEC & SURVE TECH INC     COM            16942J105            384         100       X     28-12020      100     0           0
CHINA UNICOM (HONG KONG ) LTD  SPONSORED ADR  16945R104          2,082         200       X     28-12020      200     0           0
CHIPOTLE MEXICAN GRILL INC     CL A           169656105        221,660       3,332       X     28-12020     3332     0           0
CHIQUITA BRANDS INTL IN C      COM            170032809          5,000         824       X     28-12020      824     0           0
CHOICE HOTELS INTL INC         COM            169905106         18,000         701       X     28-12020      701     0           0
CHORDIANT SOFTWARE INC         COM NEW        170404305              0          49       X     28-12020       49     0           0
CHRISTOPHER & BANKS COR P      COM            171046105          4,000       1,047       X     28-12020     1047     0           0
CHUBB CORP                     COM            171232101      2,171,608      51,314       X     28-4635         0     0       51314
CHUBB CORP                     COM            171232101     21,898,251     517,453       X     28-12020   513113     0        4340
CHUBB CORP                     COM            171232101        120,000       1,000       X     28-12020     1000     0           0







                                                                                                                  FILE NO. 28-1235
PAGE 256 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                      ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
CHUNGHWA TELECOM CO LTD        SPONS ADR
                               NEW 09         17133Q403        122,000       6,682       X     28-12020     6682     0           0
CHURCH & DWIGHT INC            COM            171340102        453,774       8,688       X     28-4635         0     0        8688
CHURCH & DWIGHT INC            COM            171340102      8,431,043     161,423       X     28-12020   152360     0        9063
CHURCHILL DOWNS INC            COM            171484108        461,936      15,364       X     28-12020    15364     0           0
CIBER INC                      COM            17163B102          4,300       1,575       X     28-4635         0     0        1575
CIBER INC                      COM            17163B102        395,000     144,676       X     28-12020   144676     0           0
CIENA CORP                     COM NEW        171779309         46,011       5,914       X     28-4635         0     0        5914
CIENA CORP                     COM NEW        171779309         35,000       4,496       X     28-12020     4496     0           0
CIGNA CORP                     COM            125509109        223,393      12,700       X     28-4635         0     0       12700
CIGNA CORP                     COM            125509109        822,530      46,773       X     28-12020    45861     0         912
CIMAREX ENERGY CO              COM            171798101        193,699      10,513       X     28-12020    10513     0           0
CINCINNATI BELL INC NEW        COM            171871106          6,990       3,173       X     28-12020     1973     0        1200
CINCINNATI FINL CORP           COM            172062101        160,387       7,013       X     28-4635         0     0        7013
CINCINNATI FINL CORP           COM            172062101      6,094,085     266,467       X     28-12020   263467     0        3000
CINEMARK HOLDINGS INC          COM            17243V102          7,000         707       X     28-12020      707     0           0
CINTAS CORP                    COM            172908105        142,214       5,753       X     28-4635         0     0        5753
CINTAS CORP                    COM            172908105      2,435,250      98,529       X     28-12020    94329     0        4200
CIRCOR INTL INC                COM            17273K109          2,540         101       X     28-12020      101     0           0
CIRRUS LOGIC INC               COM            172755100          1,000         212       X     28-12020      212     0           0
CISCO SYS INC                  COM            17275R102     19,794,939   1,180,378       X     28-4635         0     0     1180378
CISCO SYS INC                  COM            17275R102    113,980,141   6,796,677       X     28-12020  6584314     0      212363
CIT GROUP INC                  COM            125581108         48,558      17,038       X     28-4635         0     0       17038
CIT GROUP INC                  COM            125581108         58,000      20,468       X     28-12020    20468     0           0
CITADEL BROADCASTING CO RP COM ED             17285T106            167       2,521       X     28-12020     2498     0          23
CITIGROUP INC                  COM            172967101        625,644     247,290       X     28-4635         0     0      247290
CITIGROUP INC                  COM            172967101      1,706,403     674,433       X     28-12020   653419     0       21014
CITIZENS FIRST BANCORP INC D   COM            17461R106          1,605       1,500       X     28-12020     1500     0           0
CITIZENS INC                   CL A           174740100          8,361       1,150       X     28-4635         0     0        1150
CITIZENS INC                   CL A           174740100        795,000     109,400       X     28-12020   109400     0           0
CITIZENS REPUBLIC BANCO RP IN  COM            174420109         39,952      25,621       X     28-12020    25621     0           0
CITRIX SYS INC                 COM            177376100     10,069,389     444,761       X     28-4635         0     0      444761
CITRIX SYS INC                 COM            177376100      8,935,606     394,667       X     28-12020   394290     0         377
CITY BK LYNNWOOD WASH          COM            17770A109          3,000         788       X     28-12020      788     0           0
CITY HLDG CO                   COM            177835105        697,259      25,550       X     28-4635         0     0       25550
CITY HLDG CO                   COM            177835105        966,000      35,411       X     28-12020    35411     0           0
CITY NATL CORP                 COM            178566105         20,262         600       X     28-4635         0     0         600
CITY NATL CORP                 COM            178566105         24,000         720       X     28-12020      720     0           0
CKE RESTAURANTS INC            COM            12561E105          3,000         352       X     28-12020      352     0           0
CKX INC                        COM            12562M106              0          57       X     28-12020       57     0           0
CLARCOR INC                    COM            179895107        679,406      26,956       X     28-12020    26956     0           0
CLAYMORE EXCHANGE TRADE D FD   SABRIENT STLTH 18383M308          5,065         500       X     28-12020        0     0         500
CLEAN HARBORS INC              COM            184496107         15,200         310       X     28-12020      310     0           0
CLEAR CHANNEL OUTDOOR H LDGS   CL A           18451C109          1,000         298       X     28-12020      298     0           0
CLEARWATER PAPER CORP          COM            18538R103          1,000         106       X     28-12020      106     0           0
CLEARWIRE CORP NEW             CL A           18538Q105          7,150       1,388       X     28-12020     1388     0           0
CLECO CORP NEW                 COM            12561W105        599,729      27,650       X     28-4635         0     0       27650
CLECO CORP NEW                 COM            12561W105      1,148,388      52,942       X     28-12020    52942     0           0
CLIFFS NATURAL RESOURCE S INC  COM            18683K101         86,278       4,751       X     28-4635         0     0        4751
CLIFFS NATURAL RESOURCE S INC  COM            18683K101        266,332      14,664       X     28-12020    14384     0         280
CLOROX CO DEL                  COM            189054109        377,091       7,325       X     28-4635         0     0        7325
CLOROX CO DEL                  COM            189054109      3,473,025      67,459       X     28-12020    66859     0         600







                                                                                                                  FILE NO. 28-1235
PAGE 257 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                      ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
CME GROUP INC                  COM            12572Q105      7,262,592      29,476       X     28-4635         0     0       29476
CME GROUP INC                  COM            12572Q105      7,491,766      30,407       X     28-12020    30276     0         131
CMS ENERGY CORP                COM            125896100        117,500       9,924       X     28-4635         0     0        9924
CMS ENERGY CORP                COM            125896100        411,026      34,693       X     28-12020    15412     0       19281
CNA FINL CORP                  COM            126117100         36,350       3,967       X     28-12020     3967     0           0
CNA SURETY CORP                COM            12612L108         15,213         825       X     28-4635         0     0         825
CNA SURETY CORP                COM            12612L108      1,460,000      79,170       X     28-12020    79170     0           0
CNOOC LTD                      SPONSORED ADR  126132109         47,785         475       X     28-4635         0     0         475
CNOOC LTD                      SPONSORED ADR  126132109         20,120         200       X     28-12020      200     0           0
CNX GAS CORP                   COM            12618H309        264,260      11,142       X     28-12020    11142     0           0
COACH INC                      COM            189754104        675,381      40,442       X     28-4635         0     0       40442
COACH INC                      COM            189754104        871,257      52,160       X     28-12020    52160     0           0
COACHMEN INDS INC              COM            189873102          2,210       3,400       X     28-12020     3400     0           0
COBIZ FINANCIAL INC            COM            190897108          3,000         552       X     28-12020      552     0           0
COCA COLA BOTTLING CO C ONS    COM            191098102         31,230         600       X     28-4635         0     0         600
COCA COLA BOTTLING CO C ONS    COM            191098102         10,000         190       X     28-12020      190     0           0
COCA COLA CO                   COM            191216100      6,128,959     139,453       X     28-4635         0     0      139453
COCA COLA CO                   COM            191216100     72,720,700   1,654,637       X     28-12020  1482558     0      172079
COCA COLA ENTERPRISES I N C    COM            191219104        207,070      15,699       X     28-4635         0     0       15699
COCA COLA ENTERPRISES I N C    COM            191219104        250,419      18,957       X     28-12020    17788     0        1169
COEUR D ALENE MINES COR P IDA  COM            192108108          3,000       2,789       X     28-12020     2789     0           0
COGENT INC                     COM            19239Y108         24,800       2,092       X     28-12020     1092     0        1000
COGNEX CORP                    COM            192422103          3,000         236       X     28-12020      236     0           0
COGNIZANT TECHNOLOGY SO LUTIO  CL A           192446102        645,468      31,047       X     28-4635         0     0       31047
COGNIZANT TECHNOLOGY SO LUTIO  CL A           192446102     12,451,221     598,902       X     28-12020   585991     0       12911
COHEN & STEERS ADV INC RLTY    COM            19247W102          5,707       2,868       X     28-12020     2868     0           0
COHEN & STEERS GLOBAL I NC BL  COM            19248M103          7,786       1,268       X     28-12020     1268     0           0
COHEN & STEERS INC             COM            19247A100         10,044         939       X     28-12020      939     0           0
COHEN & STEERS PREM INC RLTY   COM            19247V104          5,486       2,918       X     28-12020     2918     0           0
COHEN & STEERS QUALITY RLTY    COM            19247L106          1,302         648       X     28-12020      648     0           0
COHEN & STEERS REIT & U TIL I  COM            19247Y108          1,078         250       X     28-12020      250     0           0
COHEN & STEERS SELECT U TIL F  COM            19248A109         45,050       5,000       X     28-12020        0     0        5000
COHEN & STEERS TOTAL RE TURN   COM            19247R103          3,581         659       X     28-12020      659     0           0
COHERENT INC                   COM            192479103        167,325       9,700       X     28-4635         0     0        9700
COHERENT INC                   COM            192479103        442,000      25,642       X     28-12020    25642     0           0
COHU INC                       COM            192576106              0          32       X     28-12020       32     0           0
COINSTAR INC                   COM            19259P300         16,000         484       X     28-12020      484     0           0
COLDWATER CREEK INC            COM            193068103          1,757         700       X     28-12020      700     0           0
COLFAX CORP                    COM            194014106         77,631      11,300       X     28-4635         0     0       11300
COLGATE PALMOLIVE CO           COM            194162103     18,704,917     317,140       X     28-4635         0     0      317140
COLGATE PALMOLIVE CO           COM            194162103     59,456,192   1,008,076       X     28-12020   975030     0       33046
COLLECTIVE BRANDS INC          COM            19421W100         17,649       1,830       X     28-12020     1158     0         672
COLONIAL BANCGROUP INC         COM            195493309          2,000       1,831       X     28-12020     1831     0           0
COLONIAL PPTYS TR              COM SH BEN INT 195872106          2,000         405       X     28-12020      405     0           0
COLUMBIA BKG SYS INC           COM            197236102              0          17       X     28-12020       17     0           0
COLUMBIA SPORTSWEAR CO         COM            198516106         86,768       2,900       X     28-4635         0     0        2900
COLUMBIA SPORTSWEAR CO         COM            198516106        240,984       8,064       X     28-12020     8064     0           0
COLUMBUS MCKINNON CORP N Y     COM            199333105          6,976         800       X     28-4635         0     0         800
COLUMBUS MCKINNON CORP N Y     COM            199333105          6,000         735       X     28-12020      735     0           0
COMCAST CORP NEW               CL A           20030N101      2,157,643     158,185       X     28-4635         0     0      158185
COMCAST CORP NEW               CL A           20030N101      2,464,752     180,724       X     28-12020   175056     0        5668







                                                                                                                  FILE NO. 28-1235
PAGE 258 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                      ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
COMCAST CORP NEW               CL A SPL       20030N200        477,657      37,114       X     28-12020    28014     0        9100
COMERICA INC                   COM            200340107        145,034       7,921       X     28-4635         0     0        7921
COMERICA INC                   COM            200340107        257,957      14,076       X     28-12020    14076     0           0
COMFORT SYS USA INC            COM            199908104        118,218      11,400       X     28-4635         0     0       11400
COMFORT SYS USA INC            COM            199908104        288,000      27,771       X     28-12020    27771     0           0
COMMERCE BANCSHARES INC        COM            200525103      2,844,970      78,387       X     28-12020    78387     0           0
COMMERCIAL METALS CO           COM            201723103         16,000       1,425       X     28-12020     1425     0           0
COMMSCOPE INC                  COM            203372107         26,310       2,316       X     28-4635         0     0        2316
COMMSCOPE INC                  COM            203372107         22,997       2,056       X     28-12020     2056     0           0
COMMUNITY BK SHS IND IN C      COM            203599105          6,650         950       X     28-12020      950     0           0
COMMUNITY BK SYS INC           COM            203607106        785,994      46,925       X     28-4635         0     0       46925
COMMUNITY BK SYS INC           COM            203607106      1,711,000     102,175       X     28-12020   102175     0           0
COMMUNITY HEALTH SYS IN C NEW  COM            203668108          5,231         341       X     28-4635         0     0         341
COMMUNITY HEALTH SYS IN C NEW  COM            203668108        333,997      21,761       X     28-12020    21203     0         558
COMMUNITY TR BANCORP IN C      COM            204149108        539,013      20,150       X     28-4635         0     0       20150
COMMUNITY TR BANCORP IN C      COM            204149108        554,764      20,754       X     28-12020    20754     0           0
COMMVAULT SYSTEMS INC          COM            204166102          2,000         166       X     28-12020      166     0           0
COMPANHIA DE SANEAMENTO BASI   SPONSORED ADR  20441A102            512          24       X     28-12020       24     0           0
COMPANHIA PARANAENSE EN ERG C  SPON ADR PFD   20441B407        704,025      67,500       X     28-4635         0     0       67500
COMPANHIA PARANAENSE EN ERG C  SPON ADR PFD   20441B407        447,000      42,856       X     28-12020    42856     0           0
COMPANHIA SIDERURGICA N ACION  SPONSORED ADR  20440W105         44,520       3,000       X     28-4635         0     0        3000
COMPANHIA SIDERURGICA N ACION  SPONSORED ADR  20440W105          5,936         400       X     28-12020      400     0           0
COMPANHIA VALE DO RIO D OCE    SPON ADR PFD   204412100         78,960       7,000       X     28-4635         0     0        7000
COMPANHIA VALE DO RIO D OCE    SPON ADR PFD   204412100            237          21       X     28-12020       21     0           0
COMPANHIA VALE DO RIO D OCE    SPONSORED ADR  204412209        845,242      63,552       X     28-4635         0     0       63552
COMPANHIA VALE DO RIO D OCE    SPONSORED ADR  204412209      1,515,867     113,941       X     28-12020   113941     0           0
COMPASS DIVERSIFIED HOL DINGS  SH BEN INT     20451Q104          4,000         413       X     28-12020      413     0           0
COMPASS MINERALS INTL I N C    COM            20451N101        229,555       4,076       X     28-12020     4076     0           0
COMPLETE PRODUCTION SER VICES  COM            20453E109         36,652      11,900       X     28-4635         0     0       11900
COMPLETE PRODUCTION SER VICES  COM            20453E109          1,000         228       X     28-12020      228     0           0
COMPUCREDIT CORP               COM            20478N100              0          30       X     28-12020       30     0           0
COMPUTER PROGRAMS & SYS INC    COM            205306103        769,369      23,125       X     28-4635         0     0       23125
COMPUTER PROGRAMS & SYS INC    COM            205306103      1,316,000      39,558       X     28-12020    39558     0           0
COMPUTER SCIENCES CORP         COM            205363104        325,334       8,831       X     28-4635         0     0        8831
COMPUTER SCIENCES CORP         COM            205363104        984,309      26,709       X     28-12020    26384     0         325
COMPUWARE CORP                 COM            205638109        732,485     111,151       X     28-4635         0     0      111151
COMPUWARE CORP                 COM            205638109        310,000      47,019       X     28-12020    47019     0           0
COMSTOCK RES INC               COM NEW        205768203        193,700       6,500       X     28-4635         0     0        6500
COMSTOCK RES INC               COM NEW        205768203        103,900       3,495       X     28-12020     2995     0         500
COMSYS IT PARTNERS INC         COM            20581E104          2,448       1,326       X     28-12020     1326     0           0
COMTECH TELECOMMUNICATI ONS C  COM NEW        205826209      1,754,955      70,850       X     28-4635         0     0       70850
COMTECH TELECOMMUNICATI ONS C  COM NEW        205826209      3,939,339     159,027       X     28-12020   159027     0           0
COMVERGE INC                   COM            205859101          6,000         915       X     28-12020      915     0           0
CON-WAY INC                    COM            205944101         23,506       1,311       X     28-4635         0     0        1311
CON-WAY INC                    COM            205944101         16,000         872       X     28-12020      872     0           0
CONAGRA FOODS INC              COM            205887102        413,636      24,519       X     28-4635         0     0       24519
CONAGRA FOODS INC              COM            205887102        835,395      49,524       X     28-12020    46164     0        3360
CONCHO RES INC                 COM            20605P101         12,000         481       X     28-12020      481     0           0
CONCUR TECHNOLOGIES INC        COM            206708109          8,000         393       X     28-12020      393     0           0
CONEXANT SYSTEMS INC           COM NEW        207142308             29          45       X     28-12020       45     0           0
CONMED CORP                    COM            207410101        103,752       7,200       X     28-4635         0     0        7200







                                                                                                                  FILE NO. 28-1235
PAGE 259 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                      ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
CONMED CORP                    COM            207410101        295,000      20,492       X     28-12020    20492     0           0
CONNECTICUT WTR SVC INC        COM            207797101         20,280       1,000       X     28-12020        0     0        1000
CONNS INC                      COM            208242107          8,424         600       X     28-12020      600     0           0
CONOCOPHILLIPS                 COM            20825C104      7,245,540     185,024       X     28-4635         0     0      185024
CONOCOPHILLIPS                 COM            20825C104     70,747,076   1,806,615       X     28-12020  1762007     0       44608
CONOCOPHILLIPS                 COM            20825C104         18,000         400       X     28-12020      400     0           0
CONSECO INC                    COM NEW        208464883          1,113       1,447       X     28-12020     1447     0           0
CONSOL ENERGY INC              COM            20854P109        364,970      14,460       X     28-4635         0     0       14460
CONSOL ENERGY INC              COM            20854P109      1,173,599      46,507       X     28-12020    46507     0           0
CONSOLIDATED COMM HLDGS INC    COM            209034107          2,873         289       X     28-12020        9     0         280
CONSOLIDATED EDISON INC        COM            209115104        517,623      13,068       X     28-4635         0     0       13068
CONSOLIDATED EDISON INC        COM            209115104      2,138,514      53,994       X     28-12020    52468     0        1526
CONSOLIDATED GRAPHICS I N C    COM            209341106         80,136       6,300       X     28-4635         0     0        6300
CONSOLIDATED GRAPHICS I N C    COM            209341106        211,000      16,605       X     28-12020    16605     0           0
CONSOLIDATED TOMOKA LD CO      COM            210226106          8,000         270       X     28-12020      270     0           0
CONSOLIDATED WATER CO I N C    ORD            G23773107              0          16       X     28-12020       16     0           0
CONSTANT CONTACT INC           COM            210313102         60,843       4,349       X     28-12020     4349     0           0
CONSTAR INTL INC NEW COM DELET ED             21036U107            152       9,504       X     28-12020     9504     0           0
CONSTELLATION BRANDS IN C      CL A           21036P108        108,516       9,119       X     28-4635         0     0        9119
CONSTELLATION BRANDS IN C      CL A           21036P108        249,962      21,011       X     28-12020    21011     0           0
CONSTELLATION ENERGY GR OUP I  COM            210371100        300,727      14,556       X     28-4635         0     0       14556
CONSTELLATION ENERGY GR OUP I  COM            210371100      1,390,236      67,299       X     28-12020    66099     0        1200
CONTANGO OIL & GAS COMP ANY    COM NEW        21075N204         10,000         260       X     28-12020      260     0           0
CONTINENTAL AIRLS INC          CL B           210795308         13,000       1,510       X     28-12020     1510     0           0
CONTINENTAL RESOURCES I N C    COM            212015101         48,232       2,274       X     28-4635         0     0        2274
CONTINENTAL RESOURCES I N C    COM            212015101          8,000         357       X     28-12020      357     0           0
CONVERGYS CORP                 COM            212485106        210,969      26,110       X     28-4635         0     0       26110
CONVERGYS CORP                 COM            212485106        242,633      30,081       X     28-12020    30081     0           0
CONVERTED ORGANICS INC         COM            21254S107          1,014       1,207       X     28-12020     1207     0           0
COOPER COS INC                 COM NEW        216648402         16,000         604       X     28-12020      604     0           0
COOPER INDS LTD                CL A           G24182100        290,356      11,228       X     28-4635         0     0       11228
COOPER INDS LTD                CL A           G24182100        587,938      22,725       X     28-12020    22230     0         495
COOPER TIRE & RUBR CO          COM            216831107         12,050       2,970       X     28-12020     2970     0           0
COPA HOLDINGS SA               CL A           P31076105          8,601         300       X     28-4635         0     0         300
COPA HOLDINGS SA               CL A           P31076105         10,000         338       X     28-12020      338     0           0
COPART INC                     COM            217204106        582,255      19,631       X     28-4635         0     0       19631
COPART INC                     COM            217204106        949,000      31,995       X     28-12020    31995     0           0
CORE LABORATORIES N V          COM            N22717107        475,540       6,500       X     28-4635         0     0        6500
CORE LABORATORIES N V          COM            N22717107        183,000       2,500       X     28-12020     2500     0           0
CORINTHIAN COLLEGES INC        COM            218868107        403,451      20,743       X     28-4635         0     0       20743
CORINTHIAN COLLEGES INC        COM            218868107        546,000      28,069       X     28-12020    28069     0           0
CORN PRODS INTL INC            COM            219023108      1,016,752      47,960       X     28-4635         0     0       47960
CORN PRODS INTL INC            COM            219023108      1,942,256      91,622       X     28-12020    91622     0           0
CORNING INC                    COM            219350105      1,621,169     122,168       X     28-4635         0     0      122168
CORNING INC                    COM            219350105     10,743,819     809,660       X     28-12020   796487     0       13173
CORPORATE EXECUTIVE BRD CO     COM            21988R102         16,501       1,138       X     28-4635         0     0        1138
CORPORATE EXECUTIVE BRD CO     COM            21988R102          9,000         599       X     28-12020      599     0           0
CORPORATE OFFICE PPTYS TR      SH BEN INT     22002T108         77,296       3,113       X     28-4635         0     0        3113
CORPORATE OFFICE PPTYS TR      SH BEN INT     22002T108        216,000       8,719       X     28-12020     8719     0           0
CORRECTIONS CORP AMER N E W    COM NEW        22025Y407         28,041       2,189       X     28-4635         0     0        2189
CORRECTIONS CORP AMER N E W    COM NEW        22025Y407         21,817       1,731       X     28-12020     1731     0           0







                                                                                                                  FILE NO. 28-1235
PAGE 260 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                      ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
COSTAR GROUP INC               COM            22160N109          6,000         200       X     28-12020      200     0           0
COSTCO COMPANIES INC           NOTE 8/1       22160QAC6          6,308       6,000       X     28-12020     6000     0           0
COSTCO WHSL CORP NEW           COM            22160K105      6,568,963     141,817       X     28-4635         0     0      141817
COSTCO WHSL CORP NEW           COM            22160K105      7,196,938     155,383       X     28-12020   155083     0         300
COURIER CORP                   COM            222660102              0           9       X     28-12020        9     0           0
COUSINS PPTYS INC              COM            222795106          1,148         121       X     28-12020      121     0           0
COVANCE INC                    COM            222816100        157,057       4,408       X     28-4635         0     0        4408
COVANCE INC                    COM            222816100         86,388       2,438       X     28-12020     2438     0           0
COVANTA HLDG CORP              COM            22282E102         48,538       3,708       X     28-4635         0     0        3708
COVANTA HLDG CORP              COM            22282E102         25,000       1,941       X     28-12020     1941     0           0
COVENTRY HEALTH CARE IN C      COM            222862104        151,799      11,731       X     28-4635         0     0       11731
COVENTRY HEALTH CARE IN C      COM            222862104      2,321,000     179,362       X     28-12020   179362     0           0
COVIDIEN LTD                   COM            G2552X108        734,172      22,087       X     28-4635         0     0       22087
COVIDIEN LTD                   COM            G2552X108      1,803,932      54,265       X     28-12020    49667     0        4598
COX RADIO INC                  CL A           224051102        242,720      59,200       X     28-4635         0     0       59200
COX RADIO INC                  CL A           224051102        124,000      30,340       X     28-12020    30340     0           0
CPI INTERNATIONAL INC          COM            12618M100         11,280       1,200       X     28-4635         0     0        1200
CRA INTL INC                   COM            12618T105         67,968       3,600       X     28-4635         0     0        3600
CRACKER BARREL OLD CTRY STOR   COM            22410J106         80,555       2,804       X     28-12020     2804     0           0
CRANE CO                       COM            224399105        167,215       9,920       X     28-12020     9920     0           0
CREDICORP LTD                  COM            G2519Y108        121,784       2,600       X     28-4635         0     0        2600
CREDICORP LTD                  COM            G2519Y108            749          16       X     28-12020       16     0           0
CREDIT SUISSE GROUP            SPONSORED ADR  225401108        115,862       3,800       X     28-4635         0     0        3800
CREDIT SUISSE GROUP            SPONSORED ADR  225401108         78,176       2,564       X     28-12020     2564     0           0
CREE INC                       COM            225447101         20,024         851       X     28-4635         0     0         851
CREE INC                       COM            225447101         38,706       1,651       X     28-12020     1651     0           0
CROCS INC                      COM            227046109          7,950       6,271       X     28-12020     1271     0        5000
CROSS CTRY HEALTHCARE I N C    COM            227483104         75,325      11,500       X     28-4635         0     0       11500
CROSS CTRY HEALTHCARE I N C    COM            227483104        204,000      31,160       X     28-12020    31160     0           0
CROSSTEX ENERGY INC            COM            22765Y104              0         142       X     28-12020      142     0           0
CROWN CASTLE INTL CORP         COM            228227104         64,659       3,168       X     28-4635         0     0        3168
CROWN CASTLE INTL CORP         COM            228227104        107,371       5,285       X     28-12020     4586     0         699
CROWN HOLDINGS INC             COM            228368106        149,950       6,597       X     28-4635         0     0        6597
CROWN HOLDINGS INC             COM            228368106        107,143       4,706       X     28-12020     2456     0        2250
CROWN MEDIA HLDGS INC          CL A           228411104         16,503       8,050       X     28-12020     8050     0           0
CRUCELL N V                    SPONSORED ADR  228769105         17,739         900       X     28-4635         0     0         900
CRYOLIFE INC                   COM            228903100         15,540       3,000       X     28-12020     3000     0           0
CSG SYS INTL INC               COM            126349109        286,314      20,050       X     28-4635         0     0       20050
CSG SYS INTL INC               COM            126349109        403,000      28,248       X     28-12020    28248     0           0
CSS INDS INC                   COM            125906107          5,000         282       X     28-12020      282     0           0
CSX CORP                       COM            126408103        735,122      28,438       X     28-4635         0     0       28438
CSX CORP                       COM            126408103      2,571,080      99,472       X     28-12020    97272     0        2200
CTC MEDIA INC                  COM            12642X106          3,000         577       X     28-12020      577     0           0
CTRIP COM INTL LTD             ADR            22943F100         71,240       2,600       X     28-12020     2600     0           0
CTS CORP                       COM            126501105          1,000         177       X     28-12020      177     0           0
CUBIC CORP                     COM            229669106         88,655       3,500       X     28-4635         0     0        3500
CUBIC CORP                     COM            229669106        250,599       9,905       X     28-12020     9905     0           0
CUBIST PHARMACEUTICALS INC     COM            229678107        315,912      19,310       X     28-4635         0     0       19310
CUBIST PHARMACEUTICALS INC     COM            229678107        603,180      36,874       X     28-12020    36874     0           0
CULLEN FROST BANKERS IN C      COM            229899109        136,126       2,900       X     28-4635         0     0        2900
CULLEN FROST BANKERS IN C      COM            229899109        448,456       9,549       X     28-12020     9549     0           0







                                                                                                                  FILE NO. 28-1235
PAGE 261 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                      ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
CUMMINS INC                    COM            231021106        411,756      16,179       X     28-4635         0     0       16179
CUMMINS INC                    COM            231021106        392,723      15,450       X     28-12020    15101     0         349
CURRENCYSHARES EURO TR         EURO SHS       23130C108          1,727          13       X     28-12020       13     0           0
CURRENCYSHS JAPANESE YE N TR   JAPANESE YEN   23130A102         15,882         158       X     28-12020      158     0           0
CURTISS WRIGHT CORP            COM            231561101      1,203,485      42,905       X     28-4635         0     0       42905
CURTISS WRIGHT CORP            COM            231561101      1,890,235      67,394       X     28-12020    67394     0           0
CUTERA INC                     COM            232109108          7,668       1,200       X     28-4635         0     0        1200
CV THERAPEUTICS INC            COM            126667104          9,000         458       X     28-12020      458     0           0
CVB FINL CORP                  COM            126600105          4,641         700       X     28-4635         0     0         700
CVB FINL CORP                  COM            126600105          2,000         362       X     28-12020      362     0           0
CVS CAREMARK CORPORATIO N      COM            126650100      2,746,416      99,906       X     28-4635         0     0       99906
CVS CAREMARK CORPORATIO N      COM            126650100     85,616,880   3,114,465       X     28-12020  3025068     0       89397
CYBERSOURCE CORP               COM            23251J106        142,917       9,650       X     28-4635         0     0        9650
CYBERSOURCE CORP               COM            23251J106        361,440      24,373       X     28-12020    24373     0           0
CYBEX INTL INC                 COM            23252E106            200         184       X     28-12020      184     0           0
CYMER INC                      COM            232572107         97,944       4,400       X     28-4635         0     0        4400
CYMER INC                      COM            232572107        256,000      11,484       X     28-12020    11484     0           0
CYPRESS SEMICONDUCTOR C ORP    COM            232806109         30,648       4,527       X     28-4635         0     0        4527
CYPRESS SEMICONDUCTOR C ORP    COM            232806109         17,000       2,440       X     28-12020     2440     0           0
CYTEC INDS INC                 COM            232820100         10,514         700       X     28-4635         0     0         700
CYTEC INDS INC                 COM            232820100          9,448         634       X     28-12020      634     0           0
CYTOKINETICS INC               COM            23282W100          1,360         800       X     28-12020        0     0         800
D & E COMMUNICATIONS IN C      COM            232860106            381          71       X     28-12020       71     0           0
D R HORTON INC                 COM            23331A109        167,053      17,222       X     28-4635         0     0       17222
D R HORTON INC                 COM            23331A109        162,120      16,701       X     28-12020    16701     0           0
DAIMLER AG                     REG SHS        D1668R123         56,188       2,200       X     28-4635         0     0        2200
DAIMLER AG                     REG SHS        D1668R123        107,523       4,210       X     28-12020     4210     0           0
DANAHER CORP DEL               COM            235851102     13,855,975     255,551       X     28-4635         0     0      255551
DANAHER CORP DEL               COM            235851102     11,306,879     208,538       X     28-12020   207907     0         631
DANAHER CORP DEL               NOTE 1/2       235851AF9          8,575      10,000       X     28-12020    10000     0           0
DANAOS CORPORATION             SHS            Y1968P105          6,680       2,000       X     28-12020        0     0        2000
DANVERS BANCORP INC            COM            236442109        116,004       8,400       X     28-4635         0     0        8400
DANVERS BANCORP INC            COM            236442109        307,000      22,250       X     28-12020    22250     0           0
DARDEN RESTAURANTS INC         COM            237194105        404,474      11,806       X     28-4635         0     0       11806
DARDEN RESTAURANTS INC         COM            237194105      1,431,206      41,778       X     28-12020    41558     0         220
DARLING INTL INC               COM            237266101          6,000       1,713       X     28-12020     1713     0           0
DATA DOMAIN INC                COM            23767P109         91,761       7,300       X     28-4635         0     0        7300
DATA DOMAIN INC                COM            23767P109        913,456      72,658       X     28-12020    72658     0           0
DATATRAK INTL INC              COM            238134100         34,140     161,800       X     28-12020   161800     0           0
DAVITA INC                     COM            23918K108        323,560       7,362       X     28-4635         0     0        7362
DAVITA INC                     COM            23918K108        260,000       5,918       X     28-12020     5918     0           0
DAWSON GEOPHYSICAL CO          COM            239359102          8,400         605       X     28-12020      605     0           0
DAYSTAR TECHNOLOGIES IN C      COM            23962Q100            451         410       X     28-4635         0     0         410
DCP MIDSTREAM PARTNERS LP      COM UT LTD PTN 23311P100         17,613       1,250       X     28-12020     1250     0           0
DCT INDUSTRIAL TRUST IN C      COM            233153105        113,443      35,935       X     28-12020     3316     0       32619
DEALERTRACK HLDGS INC          COM            242309102          3,406         284       X     28-12020      284     0           0
DEAN FOODS CO NEW              COM            242370104      6,454,253     356,983       X     28-4635         0     0      356983
DEAN FOODS CO NEW              COM            242370104      7,256,063     401,309       X     28-12020   400044     0        1265
DECKERS OUTDOOR CORP           COM            243537107        848,905      16,005       X     28-4635         0     0       16005
DECKERS OUTDOOR CORP           COM            243537107      2,836,000      53,473       X     28-12020    53473     0           0
DEERE & CO                     COM            244199105      1,235,124      37,576       X     28-4635         0     0       37576







                                                                                                                  FILE NO. 28-1235
PAGE 262 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                      ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
DEERE & CO                     COM            244199105     48,856,500   1,486,335       X     28-12020  1444922     0       41413
DEL MONTE FOODS CO             COM            24522P103         13,122       1,800       X     28-4635         0     0        1800
DEL MONTE FOODS CO             COM            24522P103        155,734      21,418       X     28-12020    20437     0         981
DELAWARE INVT NAT MUNI INC F   SH BEN INT     24610T108         30,868       2,845       X     28-12020     2845     0           0
DELEK US HLDGS INC             COM            246647101         11,396       1,100       X     28-4635         0     0        1100
DELL INC                       COM            24702R101      1,397,513     147,417       X     28-4635         0     0      147417
DELL INC                       COM            24702R101      1,876,093     197,936       X     28-12020   194766     0        3170
DELPHI FINL GROUP INC          CL A           247131105          6,000         409       X     28-12020      409     0           0
DELTA AIR LINES INC DEL        COM NEW        247361702         50,777       8,950       X     28-12020     8950     0           0
DELTA PETE CORP                COM NEW        247907207          2,000       1,359       X     28-12020     1359     0           0
DELUXE CORP                    COM            248019101          5,000         469       X     28-12020      469     0           0
DENBURY RES INC                COM NEW        247916208        278,848      18,765       X     28-4635         0     0       18765
DENBURY RES INC                COM NEW        247916208         49,000       3,277       X     28-12020     3277     0           0
DENISON MINES CORP             COM            248356107          1,440       2,000       X     28-12020     2000     0           0
DENNYS CORP                    COM            24869P104          3,000       1,971       X     28-12020     1971     0           0
DENTSPLY INTL INC NEW          COM            249030107      3,437,659     128,032       X     28-4635         0     0      128032
DENTSPLY INTL INC NEW          COM            249030107      2,933,445     109,271       X     28-12020   109271     0           0
DESCARTES SYS GROUP INC        COM            249906108         69,420      26,000       X     28-12020    26000     0           0
DEUTSCHE BANK AG               NAMEN AKT      D18190898         89,431       2,200       X     28-12020     2025     0         175
DEUTSCHE BK AG LONDON B R H    PS CR OIL
                               DD ETN         25154K882        131,489      47,469       X     28-12020    47469     0           0
DEUTSCHE TELEKOM AG            SPONSORED ADR  251566105         68,900       5,579       X     28-12020     5579     0           0
DEVELOPERS DIVERSIFIED RLTY    COM            251591103         11,347       5,327       X     28-4635         0     0        5327
DEVELOPERS DIVERSIFIED RLTY    COM            251591103         15,183       6,966       X     28-12020     6966     0           0
DEVON ENERGY CORP NEW          COM            25179M103     11,719,237     262,234       X     28-4635         0     0      262234
DEVON ENERGY CORP NEW          COM            25179M103      3,750,701      83,929       X     28-12020    82520     0        1409
DEVRY INC DEL                  COM            251893103        728,289      15,116       X     28-4635         0     0       15116
DEVRY INC DEL                  COM            251893103        314,286       6,519       X     28-12020     6519     0           0
DG FASTCHANNEL INC             COM            23326R109          6,100         325       X     28-12020      325     0           0
DIAGEO P L C                   SPON ADR NEW   25243Q205        501,648      11,210       X     28-4635         0     0       11210
DIAGEO P L C                   SPON ADR NEW   25243Q205        835,792      18,685       X     28-12020    18205     0         480
DIAMOND FOODS INC              COM            252603105          9,776         350       X     28-4635         0     0         350
DIAMOND FOODS INC              COM            252603105        920,000      32,950       X     28-12020    32950     0           0
DIAMOND OFFSHORE DRILLI NG IN  COM            25271C102        315,369       5,017       X     28-4635         0     0        5017
DIAMOND OFFSHORE DRILLI NG IN  COM            25271C102        420,854       6,689       X     28-12020     6689     0           0
DIAMONDROCK HOSPITALITY CO     COM            252784301         15,639       3,900       X     28-4635         0     0        3900
DIAMONDROCK HOSPITALITY CO     COM            252784301          7,000       1,637       X     28-12020     1637     0           0
DIAMONDS TR                    UNIT SER 1     252787106        439,341       5,793       X     28-12020     5793     0           0
DICKS SPORTING GOODS IN C      COM            253393102      3,796,662     266,059       X     28-4635         0     0      266059
DICKS SPORTING GOODS IN C      COM            253393102      5,533,616     387,793       X     28-12020   387793     0           0
DIEBOLD INC                    COM            253651103         31,641       1,482       X     28-4635         0     0        1482
DIEBOLD INC                    COM            253651103        350,912      16,453       X     28-12020    16453     0           0
DIGI INTL INC                  COM            253798102         11,493       1,442       X     28-12020     1442     0           0
DIGIMARC CORP NEW              COM            25381B101          5,550         571       X     28-12020        0     0         571
DIGITAL RIV INC                COM            25388B104      2,426,901      81,385       X     28-4635         0     0       81385
DIGITAL RIV INC                COM            25388B104      4,820,000     161,652       X     28-12020   161652     0           0
DIGITAL RLTY TR INC            COM            253868103        233,819       7,047       X     28-4635         0     0        7047
DIGITAL RLTY TR INC            COM            253868103        622,825      18,763       X     28-12020    18763     0           0
DIME CMNTY BANCSHARES          COM            253922108         15,008       1,600       X     28-4635         0     0        1600
DIME CMNTY BANCSHARES          COM            253922108          7,000         762       X     28-12020      762     0           0
DINEEQUITY INC                 COM            254423106          5,000         384       X     28-12020      384     0           0
DIODES INC                     COM            254543101          7,414         688       X     28-12020      688     0           0







                                                                                                                  FILE NO. 28-1235
PAGE 263 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                      ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
DIONEX CORP                    COM            254546104         20,000         430       X     28-12020      430     0           0
DIRECTV GROUP INC              COM            25459L106        929,331      40,778       X     28-4635         0     0       40778
DIRECTV GROUP INC              COM            25459L106        942,997      41,397       X     28-12020    39934     0        1463
DIREXION SHS ETF TR            FINL BULL 3X   25459W508        173,800      31,600       X     28-12020    31600     0           0
DIREXION SHS ETF TR            SM CAP BULL 3X 25459W847         26,040       1,500       X     28-12020     1500     0           0
DIREXION SHS ETF TR            LARGE CAP BULL 25459W862         33,930       1,500       X     28-12020     1500     0           0
DISCOVER FINL SVCS             COM            254709108        164,502      26,070       X     28-4635         0     0       26070
DISCOVER FINL SVCS             COM            254709108      1,644,895     260,645       X     28-12020   258254     0        2391
DISCOVERY COMMUNICATNS NEW     COM SER A      25470F104         58,834       3,961       X     28-12020     3885     0          76
DISH NETWORK CORP              CL A           25470M109        202,891      18,262       X     28-4635         0     0       18262
DISH NETWORK CORP              CL A           25470M109        470,343      42,328       X     28-12020    41307     0        1021
DISNEY WALT CO                 COM DISNEY     254687106      1,865,704     102,737       X     28-4635         0     0      102737
DISNEY WALT CO                 COM DISNEY     254687106     11,299,888     622,244       X     28-12020   602641     0       19603
DIVX INC                       COM            255413106          4,000         772       X     28-12020      772     0           0
DIXIE GROUP INC                CL A           255519100          2,200       2,000       X     28-12020        0     0        2000
DNP SELECT INCOME FD           COM            23325P104        110,527      16,254       X     28-12020    14754     0        1500
DOLBY LABORATORIES INC         COM            25659T107         88,686       2,600       X     28-4635         0     0        2600
DOLBY LABORATORIES INC         COM            25659T107        174,686       5,112       X     28-12020     5112     0           0
DOLLAR FINL CORP               COM            256664103              0          16       X     28-12020       16     0           0
DOLLAR TREE INC                COM            256746108        329,536       7,397       X     28-4635         0     0        7397
DOLLAR TREE INC                COM            256746108        571,706      12,844       X     28-12020    12844     0           0
DOMINION RES INC VA NEW        COM            25746U109      1,003,301      32,375       X     28-4635         0     0       32375
DOMINION RES INC VA NEW        COM            25746U109     51,477,171   1,661,086       X     28-12020  1599009     0       62077
DOMINOS PIZZA INC              COM            25754A201          7,000       1,015       X     28-12020     1015     0           0
DOMTAR CORP                    COM            257559104          6,233       6,174       X     28-12020     6174     0           0
DONALDSON INC                  COM            257651109         81,486       3,036       X     28-4635         0     0        3036
DONALDSON INC                  COM            257651109        260,083       9,683       X     28-12020     9683     0           0
DONNELLEY R R & SONS CO        COM            257867101         70,742       9,651       X     28-4635         0     0        9651
DONNELLEY R R & SONS CO        COM            257867101        475,445      64,889       X     28-12020    64889     0           0
DORMAN PRODUCTS INC            COM            258278100          7,464         800       X     28-12020      800     0           0
DOUBLE-TAKE SOFTWARE IN C      COM            258598101          1,352         200       X     28-12020      200     0           0
DOUGLAS EMMETT INC             COM            25960P109         10,000       1,345       X     28-12020     1345     0           0
DOVER CORP                     COM            260003108        488,610      18,522       X     28-4635         0     0       18522
DOVER CORP                     COM            260003108        562,846      21,324       X     28-12020    21324     0           0
DOVER DOWNS GAMING & EN TMT I  COM            260095104          3,000         840       X     28-12020      840     0           0
DOW 30SM ENHANCED PREM & INC   COM            260537105            324          41       X     28-12020       41     0           0
DOW CHEM CO                    COM            260543103        402,575      47,755       X     28-4635         0     0       47755
DOW CHEM CO                    COM            260543103      2,039,203     241,879       X     28-12020   225050     0       16829
DPL INC                        COM            233293109         61,219       2,716       X     28-4635         0     0        2716
DPL INC                        COM            233293109      4,680,732     207,667       X     28-12020   207017     0         650
DR PEPPER SNAPPLE GROUP INC    COM            26138E109        248,729      14,709       X     28-4635         0     0       14709
DR PEPPER SNAPPLE GROUP INC    COM            26138E109        259,217      15,339       X     28-12020    14110     0        1229
DR REDDYS LABS LTD             ADR            256135203        611,613      64,721       X     28-12020    63421     0        1300
DREAMWORKS ANIMATION SK G INC  CL A           26153C103         16,230         750       X     28-4635         0     0         750
DREAMWORKS ANIMATION SK G INC  CL A           26153C103         19,000         863       X     28-12020      863     0           0
DRESS BARN INC                 COM            261570105          1,000         117       X     28-12020      117     0           0
DRESSER-RAND GROUP INC         COM            261608103         87,030       3,938       X     28-4635         0     0        3938
DRESSER-RAND GROUP INC         COM            261608103        274,000      12,408       X     28-12020    12408     0           0
DREW INDS INC                  COM NEW        26168L205          4,000         407       X     28-12020      407     0           0
DREYFUS MUN INCOME INC         COM            26201R102         17,968       2,513       X     28-12020     2513     0           0
DREYFUS STRATEGIC MUN B D FD   COM            26202F107         20,288       3,200       X     28-12020     3200     0           0







                                                                                                                  FILE NO. 28-1235
PAGE 264 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                      ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
DREYFUS STRATEGIC MUNS INC     COM            261932107         13,280       2,000       X     28-12020     2000     0           0
DRIL-QUIP INC                  COM            262037104         14,000         455       X     28-12020      455     0           0
DRYSHIPS INC                   SHS            Y2109Q101         36,648       7,200       X     28-12020     7200     0           0
DST SYS INC DEL                COM            233326107         67,544       1,951       X     28-4635         0     0        1951
DST SYS INC DEL                COM            233326107         29,000         835       X     28-12020      835     0           0
DSW INC                        CL A           23334L102          4,645         500       X     28-12020      500     0           0
DTE ENERGY CO                  COM            233331107        198,277       7,158       X     28-4635         0     0        7158
DTE ENERGY CO                  COM            233331107        605,490      21,871       X     28-12020    21871     0           0
DU PONT E I DE NEMOURS & CO    COM            263534109      2,781,380     124,558       X     28-4635         0     0      124558
DU PONT E I DE NEMOURS & CO    COM            263534109     20,064,466     898,550       X     28-12020   867867     0       30683
DUCOMMUN INC DEL               COM            264147109        395,314      27,188       X     28-4635         0     0       27188
DUCOMMUN INC DEL               COM            264147109        153,000      10,500       X     28-12020    10500     0           0
DUFF & PHELPS UTIL CORP BD T   COM            26432K108         21,508       1,900       X     28-12020     1900     0           0
DUKE ENERGY CORP NEW           COM            26441C105        818,946      57,189       X     28-4635         0     0       57189
DUKE ENERGY CORP NEW           COM            26441C105     14,040,715     980,526       X     28-12020   943232     0       37294
DUKE REALTY CORP               COM NEW        264411505         10,835       1,970       X     28-4635         0     0        1970
DUKE REALTY CORP               COM NEW        264411505        173,701      31,499       X     28-12020    29688     0        1811
DUN & BRADSTREET CORP D EL NE  COM            26483E100        327,096       4,248       X     28-4635         0     0        4248
DUN & BRADSTREET CORP D EL NE  COM            26483E100      1,476,147      19,174       X     28-12020    19174     0           0
DUNCAN ENERGY PARTNERS LP      COM UNITS      265026104          3,368         225       X     28-4635         0     0         225
DUNCAN ENERGY PARTNERS LP      COM UNITS      265026104        268,000      17,900       X     28-12020    17900     0           0
DURECT CORP                    COM            266605104         31,220      14,000       X     28-12020        0     0       14000
DWS GLOBAL HIGH INCOME FD      COM            23338W104         13,043       2,245       X     28-12020     2245     0           0
DWS HIGH INCOME TR             SHS            23337C109          2,940       1,000       X     28-12020     1000     0           0
DWS MUN INCOME TR              COM            23338M106         57,102       6,200       X     28-12020     6200     0           0
DWS RREEF REAL ESTATE F D II   COM            23338X102          9,245      21,500       X     28-12020    21500     0           0
DYCOM INDS INC                 COM            267475101         10,790       1,874       X     28-12020     1874     0           0
DYNAMEX INC                    COM            26784F103        103,332       7,900       X     28-4635         0     0        7900
DYNAMEX INC                    COM            26784F103         59,584       4,548       X     28-12020     4548     0           0
DYNAMIC MATLS CORP             COM            267888105          3,916         382       X     28-12020      382     0           0
DYNCORP INTL INC               CL A           26817C101         30,659       2,300       X     28-4635         0     0        2300
DYNCORP INTL INC               CL A           26817C101         21,330       1,631       X     28-12020     1631     0           0
DYNEGY INC DEL                 CL A           26817G102         29,822      21,150       X     28-4635         0     0       21150
DYNEGY INC DEL                 CL A           26817G102         35,846      25,604       X     28-12020    25604     0           0
E M C CORP MASS                COM            268648102      7,796,061     683,865       X     28-4635         0     0      683865
E M C CORP MASS                COM            268648102      9,784,191     858,272       X     28-12020   849994     0        8278
E TRADE FINANCIAL CORP         COM            269246104         39,537      31,885       X     28-4635         0     0       31885
E TRADE FINANCIAL CORP         COM            269246104        104,000      82,710       X     28-12020    82710     0           0
EAGLE BULK SHIPPING INC        COM            Y2187A101          1,000         230       X     28-12020      230     0           0
EAGLE MATERIALS INC            COM            26969P108          7,251         299       X     28-4635         0     0         299
EAGLE MATERIALS INC            COM            26969P108         11,000         435       X     28-12020      435     0           0
EARTHLINK INC                  COM            270321102          5,000         770       X     28-12020      770     0           0
EAST WEST BANCORP INC          COM            27579R104          3,000         632       X     28-12020      632     0           0
EASTGROUP PPTY INC             COM            277276101          5,000         195       X     28-12020      195     0           0
EASTMAN CHEM CO                COM            277432100         83,053       3,099       X     28-4635         0     0        3099
EASTMAN CHEM CO                COM            277432100        221,014       8,254       X     28-12020     8079     0         175
EASTMAN KODAK CO               COM            277461109         24,335       6,404       X     28-4635         0     0        6404
EASTMAN KODAK CO               COM            277461109         42,193      11,222       X     28-12020    11222     0           0
EATON CORP                     COM            278058102        387,362      10,509       X     28-4635         0     0       10509
EATON CORP                     COM            278058102      4,297,112     116,584       X     28-12020   116584     0           0
EATON VANCE CORP               COM NON VTG    278265103         80,044       3,503       X     28-4635         0     0        3503







                                                                                                                  FILE NO. 28-1235
PAGE 265 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                      ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
EATON VANCE CORP               COM NON VTG    278265103         50,000       2,171       X     28-12020     2171     0           0
EATON VANCE ENH EQTY IN C FD   COM            278277108         22,201       2,270       X     28-12020     2270     0           0
EATON VANCE ENHANCED EQ INC    COM            278274105         12,854       1,254       X     28-12020     1254     0           0
EATON VANCE INS MA MUN BD FD   COM            27828K108         22,991       1,960       X     28-12020     1960     0           0
EATON VANCE INS MUN BD FD      COM            27827X101         46,170       4,275       X     28-12020     4275     0           0
EATON VANCE INS MUN BD FD II   COM            27827K109         11,390       1,000       X     28-12020     1000     0           0
EATON VANCE LTD DUR INC OME F  COM            27828H105         58,026       5,521       X     28-12020     5521     0           0
EATON VANCE MUNI INCOME TRUS   SH BEN INT     27826U108         11,816       1,253       X     28-12020     1253     0           0
EATON VANCE NJ MUNI INC OME T  SH BEN INT     27826V106         15,779       1,547       X     28-12020     1547     0           0
EATON VANCE OH MUNI INC OME T  SH BEN INT     27826G109         15,632       1,506       X     28-12020     1506     0           0
EATON VANCE RISK MNGD D IV EQ  COM            27829G106         20,675       1,250       X     28-12020     1250     0           0
EATON VANCE SH TM DR DI VR IN  COM            27828V104         32,086       2,571       X     28-12020     2571     0           0
EATON VANCE SR FLTNG RT E TR   COM            27828Q105         24,633       2,950       X     28-12020     2950     0           0
EATON VANCE SR INCOME T R      SH BEN INT     27826S103         18,017       5,075       X     28-12020     3986     0        1089
EATON VANCE TAX MNG GBL DV E   COM            27829F108         64,061       7,449       X     28-12020     7199     0         250
EATON VANCE TX MGD DIV EQ IN   COM            27828N102         51,241       5,234       X     28-12020        0     0        5234
EATON VANCE TX MNG BY W RT OP  COM            27828Y108          7,913         750       X     28-12020      750     0           0
EATON VANCE TXMGD GL BU YWR O  COM            27829C105         26,432       2,800       X     28-12020        0     0        2800
EBAY INC                       COM            278642103      4,543,693     361,759       X     28-4635         0     0      361759
EBAY INC                       COM            278642103      1,110,751      88,451       X     28-12020    88351     0         100
ECHELON CORP                   COM            27874N105          4,854         600       X     28-4635         0     0         600
ECHELON CORP                   COM            27874N105        452,000      55,850       X     28-12020    55850     0           0
ECHOSTAR CORP                  CL A           278768106         16,802       1,133       X     28-4635         0     0        1133
ECHOSTAR CORP                  CL A           278768106          3,000         216       X     28-12020      216     0           0
ECLIPSYS CORP                  COM            278856109         12,518       1,239       X     28-12020      649     0         590
ECOLAB INC                     COM            278865100      5,095,308     146,712       X     28-4635         0     0      146712
ECOLAB INC                     COM            278865100      4,198,294     120,893       X     28-12020   120143     0         750
ECOLOGY & ENVIRONMENT I N C    CL A           278878103         19,331       1,470       X     28-12020        0     0        1470
EDGEWATER TECHNOLOGY IN C      COM            280358102             95          34       X     28-12020       34     0           0
EDISON INTL                    COM            281020107        411,148      14,271       X     28-4635         0     0       14271
EDISON INTL                    COM            281020107      5,330,452     185,032       X     28-12020   185032     0           0
EDWARDS LIFESCIENCES CO RP     COM            28176E108        116,470       1,921       X     28-4635         0     0        1921
EDWARDS LIFESCIENCES CO RP     COM            28176E108      1,456,311      24,027       X     28-12020    23627     0         400
EL PASO CORP                   COM            28336L109        191,569      30,651       X     28-4635         0     0       30651
EL PASO CORP                   COM            28336L109        301,238      48,246       X     28-12020    42326     0        5920
EL PASO ELEC CO                COM NEW        283677854        956,007      67,850       X     28-4635         0     0       67850
EL PASO ELEC CO                COM NEW        283677854      1,055,000      74,871       X     28-12020    74871     0           0
EL PASO PIPELINE PARTNE RS L   COM UNIT LPI   283702108         77,400       4,500       X     28-12020     4500     0           0
ELAN PLC                       ADR            284131208         30,876       4,650       X     28-12020     4650     0           0
ELDORADO GOLD CORP NEW         COM            284902103         18,000       2,000       X     28-12020     2000     0           0
ELECTRO RENT CORP              COM            285218103          4,000         452       X     28-12020      452     0           0
ELECTRO SCIENTIFIC INDS        COM            285229100              0          71       X     28-12020       71     0           0
ELECTRONIC ARTS INC            COM            285512109        431,631      23,729       X     28-4635         0     0       23729
ELECTRONIC ARTS INC            COM            285512109        888,546      48,824       X     28-12020    48524     0         300
ELECTRONICS FOR IMAGING INC    COM            286082102          6,940         686       X     28-12020      686     0           0
ELIZABETH ARDEN INC            COM            28660G106              0          47       X     28-12020       47     0           0
ELLIS PERRY INTL INC           COM            288853104          1,000         200       X     28-12020      200     0           0
EMBARQ CORP                    COM            29078E105        391,861      10,353       X     28-4635         0     0       10353
EMBARQ CORP                    COM            29078E105        407,918      10,785       X     28-12020    10343     0         442
EMBOTELLADORA ANDINA S A       SPON ADR A     29081P204            429          35       X     28-12020       35     0           0
EMBRAER-EMPRESA BRASILE IRA D  SP ADR COM SHS 29081M102         51,753       3,900       X     28-4635         0     0        3900







                                                                                                                  FILE NO. 28-1235
PAGE 266 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                      ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
EMBRAER-EMPRESA BRASILE IRA D  SP ADR COM SHS 29081M102        192,150      14,480       X     28-12020    13780     0         700
EMC INS GROUP INC              COM            268664109          8,000         367       X     28-12020      367     0           0
EMCOR GROUP INC                COM            29084Q100        954,652      55,600       X     28-4635         0     0       55600
EMCOR GROUP INC                COM            29084Q100        805,000      46,897       X     28-12020    46897     0           0
EMCORE CORP                    COM            290846104          1,520       2,000       X     28-12020     2000     0           0
EMERGENCY MEDICAL SVCS CORP    CL A           29100P102        178,923       5,700       X     28-4635         0     0        5700
EMERGENCY MEDICAL SVCS CORP    CL A           29100P102        488,000      15,561       X     28-12020    15561     0           0
EMERGENT BIOSOLUTIONS I N C    COM            29089Q105        683,606      50,600       X     28-4635         0     0       50600
EMERGENT BIOSOLUTIONS I N C    COM            29089Q105        527,000      38,977       X     28-12020    38977     0           0
EMERITUS CORP                  COM            291005106              0          52       X     28-12020       52     0           0
EMERSON ELEC CO                COM            291011104      1,823,833      63,815       X     28-4635         0     0       63815
EMERSON ELEC CO                COM            291011104     31,086,074   1,087,680       X     28-12020  1040063     0       47617
EMERSON ELEC CO                COM            291011104      1,160,000       3,500       X     28-12020     3500     0           0
EMPIRE DIST ELEC CO            COM            291641108         41,432       2,896       X     28-12020       96     0        2800
EMPLOYERS HOLDINGS INC         COM            292218104          3,000         347       X     28-12020      347     0           0
EMS TECHNOLOGIES INC           COM            26873N108         34,444       1,960       X     28-12020      560     0        1400
EMULEX CORP                    COM NEW        292475209          4,000         796       X     28-12020      796     0           0
ENBRIDGE ENERGY PARTNER S L P  COM            29250R106         98,290       3,284       X     28-12020     1984     0        1300
ENBRIDGE INC                   COM            29250N105         27,706         962       X     28-12020      962     0           0
ENCANA CORP                    COM            292505104        135,922       3,347       X     28-12020     3347     0           0
ENCORE ACQUISITION CO          COM            29255W100        971,173      41,735       X     28-4635         0     0       41735
ENCORE ACQUISITION CO          COM            29255W100      1,776,000      76,329       X     28-12020    76329     0           0
ENCORE ENERGY PARTNERS LP      COM UNIT       29257A106         71,300       5,000       X     28-12020        0     0        5000
ENCORE WIRE CORP               COM            292562105        171,440       8,000       X     28-4635         0     0        8000
ENCORE WIRE CORP               COM            292562105          5,900         270       X     28-12020      270     0           0
ENDO PHARMACEUTICALS HL DGS I  COM            29264F205        155,566       8,799       X     28-4635         0     0        8799
ENDO PHARMACEUTICALS HL DGS I  COM            29264F205      2,553,000     144,417       X     28-12020   144417     0           0
ENDOLOGIX INC                  COM            29266S106         12,720       6,000       X     28-12020        0     0        6000
ENDURANCE SPECIALTY HLD GS LT  SHS            G30397106        675,874      27,100       X     28-4635         0     0       27100
ENDURANCE SPECIALTY HLD GS LT  SHS            G30397106        897,113      35,961       X     28-12020    35961     0           0
ENDWAVE CORP                   COM NEW        29264A206         30,380      15,500       X     28-12020    15500     0           0
ENERGEN CORP                   COM            29265N108         32,480       1,115       X     28-4635         0     0        1115
ENERGEN CORP                   COM            29265N108     15,438,227     529,968       X     28-12020   518987     0       10981
ENERGIZER HLDGS INC            COM            29266R108         67,032       1,349       X     28-4635         0     0        1349
ENERGIZER HLDGS INC            COM            29266R108        145,150       2,931       X     28-12020     1721     0        1210
ENERGY CONVERSION DEVIC ES IN  COM            292659109        150,657      11,380       X     28-12020    11380     0           0
ENERGY PARTNERS LTD            COM            29270U105            360       4,000       X     28-12020     4000     0           0
ENERGY TRANSFER EQUITY L P     COM UT LTD PTN 29273V100        147,910       7,000       X     28-12020     6000     0        1000
ENERGY TRANSFER PRTNRS L P     UNIT LTD PARTN 29273R109         47,957       1,300       X     28-4635         0     0        1300
ENERGY TRANSFER PRTNRS L P     UNIT LTD PARTN 29273R109        379,303      10,282       X     28-12020     8282     0        2000
ENERNOC INC                    COM            292764107          8,000         573       X     28-12020      573     0           0
ENERPLUS RES FD                UNIT TR G NEW  29274D604         46,491       2,840       X     28-12020     1450     0        1390
ENERSYS                        COM            29275Y102        289,897      23,915       X     28-12020    23915     0           0
ENI S P A                      SPONSORED ADR  26874R108        126,456       3,300       X     28-4635         0     0        3300
ENI S P A                      SPONSORED ADR  26874R108         28,625         747       X     28-12020      747     0           0
ENNIS INC                      COM            293389102         54,046       6,100       X     28-4635         0     0        6100
ENNIS INC                      COM            293389102          4,544         465       X     28-12020      465     0           0
ENPRO INDS INC                 COM            29355X107         92,340       5,400       X     28-4635         0     0        5400
ENPRO INDS INC                 COM            29355X107        242,889      14,205       X     28-12020    14205     0           0
ENSCO INTL INC                 COM            26874Q100        453,156      17,165       X     28-4635         0     0       17165
ENSCO INTL INC                 COM            26874Q100        711,843      26,980       X     28-12020    26980     0           0







                                                                                                                  FILE NO. 28-1235
PAGE 267 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                      ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
ENSIGN GROUP INC               COM            29358P101        369,494      23,900       X     28-4635         0     0       23900
ENSIGN GROUP INC               COM            29358P101        450,000      29,135       X     28-12020    29135     0           0
ENSTAR GROUP LIMITED           SHS            G3075P101         16,896         300       X     28-12020      300     0           0
ENTEGRIS INC                   COM            29362U104          3,195       3,379       X     28-12020     1989     0        1390
ENTERCOM COMMUNICATIONS CORP   CL A           293639100              0          91       X     28-12020       91     0           0
ENTERGY CORP NEW               COM            29364G103        806,186      11,840       X     28-4635         0     0       11840
ENTERGY CORP NEW               COM            29364G103      1,245,973      18,295       X     28-12020    16910     0        1385
ENTERPRISE FINL SVCS CO RP     COM            293712105          4,000         429       X     28-12020      429     0           0
ENTERPRISE GP HLDGS L P        UNIT LP INT    293716106        119,886       5,300       X     28-12020     5300     0           0
ENTERPRISE PRODS PARTNE RS L   COM            293792107        774,812      34,823       X     28-12020    33823     0        1000
ENTERTAINMENT PPTYS TR         COM SH BEN INT 29380T105        100,864       6,400       X     28-4635         0     0        6400
ENTERTAINMENT PPTYS TR         COM SH BEN INT 29380T105        284,000      18,027       X     28-12020    18027     0           0
ENTRAVISION COMMUNICATI ONS C  CL A           29382R107              0         169       X     28-12020      169     0           0
ENTRUST INC                    COM            293848107          3,020       2,000       X     28-12020     2000     0           0
ENVIRONMENTAL PWR CORP         COM NEW        29406L201             72         200       X     28-12020      200     0           0
ENZO BIOCHEM INC               COM            294100102          4,020       1,000       X     28-12020        0     0        1000
ENZON PHARMACEUTICALS I N C    COM            293904108        324,745      53,500       X     28-4635         0     0       53500
ENZON PHARMACEUTICALS I N C    COM            293904108        138,000      22,692       X     28-12020    22692     0           0
EOG RES INC                    COM            26875P101      8,355,445     152,583       X     28-4635         0     0      152583
EOG RES INC                    COM            26875P101      6,510,050     118,880       X     28-12020   118320     0         560
EPICOR SOFTWARE CORP           COM            29426L108          1,000         247       X     28-12020      247     0           0
EPIQ SYS INC                   COM            26882D109          1,000          41       X     28-12020       41     0           0
EQT CORP                       COM            26884L109     12,319,489     393,217       X     28-4635         0     0      393217
EQT CORP                       COM            26884L109     42,719,265   1,363,541       X     28-12020  1328633     0       34908
EQUIFAX INC                    COM            294429105        342,056      13,990       X     28-4635         0     0       13990
EQUIFAX INC                    COM            294429105        334,040      13,662       X     28-12020    13662     0           0
EQUINIX INC                    COM NEW        29444U502         58,340       1,039       X     28-4635         0     0        1039
EQUINIX INC                    COM NEW        29444U502         36,505         657       X     28-12020      657     0           0
EQUITABLE RES INC COM DELET    ED             294549100      1,740,000      14,500       X     28-12020    14500     0           0
EQUITY LIFESTYLE PPTYS INC     COM            29472R108          6,000         170       X     28-12020      170     0           0
EQUITY ONE                     COM            294752100         10,971         900       X     28-4635         0     0         900
EQUITY ONE                     COM            294752100         10,655         870       X     28-12020      870     0           0
EQUITY RESIDENTIAL             SH BEN INT     29476L107        219,172      11,944       X     28-4635         0     0       11944
EQUITY RESIDENTIAL             SH BEN INT     29476L107        367,759      20,065       X     28-12020    20065     0           0
ERESEARCHTECHNOLOGY INC        COM            29481V108          1,578         321       X     28-12020      321     0           0
ERICSSON L M TEL CO            ADR B SEK 10   294821608        114,878      14,200       X     28-4635         0     0       14200
ERICSSON L M TEL CO            ADR B SEK 10   294821608        155,465      19,217       X     28-12020    18342     0         875
ERIE INDTY CO                  CL A           29530P102    250,104,892   7,317,300       X     28-12020  5410566     0     1906734
ESB FINL CORP                  COM            26884F102         27,200       2,475       X     28-12020     2475     0           0
ESCO TECHNOLOGIES INC          COM            296315104         97,145       2,511       X     28-12020     2511     0           0
ESSA BANCORP INC               COM            29667D104        384,659      28,900       X     28-4635         0     0       28900
ESSA BANCORP INC               COM            29667D104        770,000      57,825       X     28-12020    57825     0           0
ESSEX PPTY TR INC              COM            297178105         25,230         440       X     28-4635         0     0         440
ESSEX PPTY TR INC              COM            297178105         29,000         509       X     28-12020      509     0           0
ESTERLINE TECHNOLOGIES CORP    COM            297425100        876,448      43,410       X     28-4635         0     0       43410
ESTERLINE TECHNOLOGIES CORP    COM            297425100      1,599,000      79,182       X     28-12020    79182     0           0
ETABLISSEMENTS DELHAIZE FRER   SPONSORED ADR  29759W101          5,378          83       X     28-12020       83     0           0
ETHAN ALLEN INTERIORS I N C    COM            297602104          2,000         160       X     28-12020      160     0           0
EURONET WORLDWIDE INC          COM            298736109         25,896       2,011       X     28-12020     2011     0           0
EUROPEAN EQUITY FUND           COM            298768102         14,681       3,314       X     28-12020     3314     0           0
EV3 INC                        COM            26928A200        130,640      18,400       X     28-4635         0     0       18400







                                                                                                                  FILE NO. 28-1235
PAGE 268 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                      ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
EVEREST RE GROUP LTD           COM            G3223R108         75,402       1,065       X     28-4635         0     0        1065
EVEREST RE GROUP LTD           COM            G3223R108      5,196,000      73,383       X     28-12020    73383     0           0
EVERGREEN ENERGY INC           COM            30024B104          7,000       4,688       X     28-12020     4688     0           0
EVERGREEN GBL DIVID OPP FUND   COM            30024H101         21,093       2,617       X     28-12020     2617     0           0
EVERGREEN INCOME ADVANT AGE F  COM SHS        30023Y105         22,771       3,661       X     28-12020     3661     0           0
EVERGREEN MULTI SECT IN C FUN  COM SHS        30024Y104         28,759       2,781       X     28-12020        0     0        2781
EVERGREEN SOLAR INC            COM            30033R108            873         410       X     28-4635         0     0         410
EVERGREEN SOLAR INC            COM            30033R108          6,473       3,090       X     28-12020     3090     0           0
EXCO RESOURCES INC             COM            269279402        138,000      13,792       X     28-12020    13792     0           0
EXELIXIS INC                   COM            30161Q104          3,910         850       X     28-12020      850     0           0
EXELON CORP                    COM            30161N101      4,739,125     104,409       X     28-4635         0     0      104409
EXELON CORP                    COM            30161N101     54,758,501   1,206,396       X     28-12020  1170487     0       35909
EXIDE TECHNOLOGIES             COM NEW        302051206          1,000         264       X     28-12020      264     0           0
EXLSERVICE HOLDINGS INC        COM            302081104              0          17       X     28-12020       17     0           0
EXPEDIA INC DEL                COM            30212P105         83,336       9,178       X     28-4635         0     0        9178
EXPEDIA INC DEL                COM            30212P105        108,185      11,882       X     28-12020    11882     0           0
EXPEDITORS INTL WASH IN C      COM            302130109     10,438,161     368,970       X     28-4635         0     0      368970
EXPEDITORS INTL WASH IN C      COM            302130109      7,274,725     257,135       X     28-12020   257135     0           0
EXPONENT INC                   COM            30214U102        727,604      28,725       X     28-4635         0     0       28725
EXPONENT INC                   COM            30214U102      1,070,000      42,250       X     28-12020    42250     0           0
EXPRESS 1 EXPEDITED SOL UTION  COM            30217Q108          5,959       7,000       X     28-12020     7000     0           0
EXPRESS SCRIPTS INC            COM            302182100        739,551      16,018       X     28-4635         0     0       16018
EXPRESS SCRIPTS INC            COM            302182100      4,726,856     102,381       X     28-12020    99251     0        3130
EXPRESSJET HOLDINGS INC        NOTE 11.250%
                               8/0            30218UAB4          3,494       5,000       X     28-12020     5000     0           0
EXTERRAN HLDGS INC             COM            30225X103         97,113       6,062       X     28-4635         0     0        6062
EXTERRAN HLDGS INC             COM            30225X103         13,000         805       X     28-12020      805     0           0
EXTRA SPACE STORAGE INC        COM            30225T102        121,771      22,100       X     28-4635         0     0       22100
EXTRA SPACE STORAGE INC        COM            30225T102        324,000      58,845       X     28-12020    58845     0           0
EXTREME NETWORKS INC           COM            30226D106            304         200       X     28-12020      200     0           0
EXXON MOBIL CORP               COM            30231G102     41,528,538     609,817       X     28-4635         0     0      609817
EXXON MOBIL CORP               COM            30231G102    549,644,712   8,071,144       X     28-12020  7417736     0      653408
EXXON MOBIL CORP               COM            30231G102     20,085,700      60,500       X     28-12020    60500     0           0
EZCHIP SEMICONDUCTOR LI MITED  ORD            M4146Y108         37,230       3,000       X     28-12020     3000     0           0
EZCORP INC                     CL A NON VTG   302301106        907,088      78,400       X     28-4635         0     0       78400
EZCORP INC                     CL A NON VTG   302301106      1,036,000      89,519       X     28-12020    89519     0           0
F M C CORP                     COM NEW        302491303         59,894       1,390       X     28-12020     1207     0         183
F5 NETWORKS INC                COM            315616102         51,495       2,458       X     28-4635         0     0        2458
F5 NETWORKS INC                COM            315616102         22,000       1,047       X     28-12020     1047     0           0
FACET BIOTECH CORP             SHS            30303Q103          5,000         491       X     28-12020      491     0           0
FACTSET RESH SYS INC           COM            303075105      2,478,454      49,579       X     28-4635         0     0       49579
FACTSET RESH SYS INC           COM            303075105      4,548,487      90,995       X     28-12020    90995     0           0
FAIR ISAAC CORP                COM            303250104         14,000         963       X     28-12020      963     0           0
FAIRCHILD SEMICONDUCTOR INTL   COM            303726103          5,000       1,219       X     28-12020     1219     0           0
FAIRFAX FINL HLDGS LTD         SUB VTG        303901102         46,890         180       X     28-12020      180     0           0
FAIRPOINT COMMUNICATION S INC  COM            305560104              3           4       X     28-4635         0     0           4
FAIRPOINT COMMUNICATION S INC  COM            305560104          1,195       1,532       X     28-12020     1399     0         133
FAMILY DLR STORES INC          COM            307000109        649,080      19,451       X     28-4635         0     0       19451
FAMILY DLR STORES INC          COM            307000109        624,922      18,727       X     28-12020    18130     0         597
FARMERS CAP BK CORP            COM            309562106         54,845       3,500       X     28-12020     3500     0           0
FARO TECHNOLOGIES INC          COM            311642102          4,000         264       X     28-12020      264     0           0
FASTENAL CO                    COM            311900104        340,329      10,584       X     28-4635         0     0       10584







                                                                                                                  FILE NO. 28-1235
PAGE 269 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                      ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
FASTENAL CO                    COM            311900104        950,896      29,566       X     28-12020    29566     0           0
FBL FINL GROUP INC             CL A           30239F106              0          25       X     28-12020       25     0           0
FEDERAL AGRIC MTG CORP         CL C           313148306          1,000         434       X     28-12020      434     0           0
FEDERAL NATL MTG ASSN          COM            313586109          2,317       3,310       X     28-4635         0     0        3310
FEDERAL NATL MTG ASSN          COM            313586109          3,161       4,525       X     28-12020     4525     0           0
FEDERAL REALTY INVT TR         SH BEN INT NEW 313747206         35,098         763       X     28-4635         0     0         763
FEDERAL REALTY INVT TR         SH BEN INT NEW 313747206         82,010       1,789       X     28-12020     1789     0           0
FEDERAL SIGNAL CORP            COM            313855108         16,195       3,073       X     28-12020     2573     0         500
FEDERATED INVS INC PA          CL B           314211103        169,822       7,629       X     28-4635         0     0        7629
FEDERATED INVS INC PA          CL B           314211103        144,474       6,501       X     28-12020     5632     0         869
FEDEX CORP                     COM            31428X106        665,437      14,957       X     28-4635         0     0       14957
FEDEX CORP                     COM            31428X106      1,097,146      24,652       X     28-12020    24460     0         192
FEI CO                         COM            30241L109         11,000         725       X     28-12020      725     0           0
FELCOR LODGING TR INC          COM            31430F101          6,971       4,967       X     28-12020     4967     0           0
FERRELLGAS PARTNERS L.P .      UNIT LTD PART  315293100          5,025         375       X     28-4635         0     0         375
FERRELLGAS PARTNERS L.P .      UNIT LTD PART  315293100        491,420      36,650       X     28-12020    36150     0         500
FERRO CORP                     COM            315405100        119,022      83,483       X     28-12020    82808     0         675
FIBERTOWER CORP                COM            31567R100            195       1,000       X     28-12020        0     0        1000
FIDELITY NATIONAL FINAN CIAL   CL A           31620R105         17,559         900       X     28-4635         0     0         900
FIDELITY NATIONAL FINAN CIAL   CL A           31620R105         81,265       4,173       X     28-12020     4173     0           0
FIDELITY NATL INFORMATI ON SV  COM            31620M106        197,142      10,832       X     28-4635         0     0       10832
FIDELITY NATL INFORMATI ON SV  COM            31620M106        245,370      13,488       X     28-12020    13488     0           0
FIFTH THIRD BANCORP            COM            316773100         73,108      25,037       X     28-4635         0     0       25037
FIFTH THIRD BANCORP            COM            316773100        969,120     331,858       X     28-12020   327171     0        4687
FINANCIAL FED CORP             COM            317492106        165,204       7,800       X     28-4635         0     0        7800
FINANCIAL FED CORP             COM            317492106        526,000      24,849       X     28-12020    24849     0           0
FINISAR                        COM            31787A101          5,000      10,913       X     28-12020    10913     0           0
FIRST ADVANTAGE CORP           CL A           31845F100         83,000       6,026       X     28-12020     6026     0           0
FIRST AMERN CORP CALIF         COM            318522307        116,483       4,398       X     28-12020     4398     0           0
FIRST BANCORP N C              COM            318910106        110,998       9,273       X     28-4635         0     0        9273
FIRST BANCORP N C              COM            318910106          7,000         620       X     28-12020      620     0           0
FIRST BANCORP P R              COM            318672102          3,000         610       X     28-12020      610     0           0
FIRST BUSEY CORP               COM            319383105         24,056       3,149       X     28-12020     3149     0           0
FIRST CASH FINL SVCS IN C      COM            31942D107         56,696       3,833       X     28-12020     3833     0           0
FIRST CMNTY BANCSHARES INC N   COM            31983A103         43,669       3,742       X     28-12020     3742     0           0
FIRST COMWLTH FINL CORP PA     COM            319829107         96,958      10,982       X     28-12020     7282     0        3700
FIRST CTZNS BANCSHARES INC N   CL A           31946M103         26,360         200       X     28-4635         0     0         200
FIRST CTZNS BANCSHARES INC N   CL A           31946M103         22,000         168       X     28-12020      168     0           0
FIRST FINL BANCORP OH          COM            320209109        103,877      10,900       X     28-4635         0     0       10900
FIRST FINL BANCORP OH          COM            320209109        306,047      32,131       X     28-12020    32131     0           0
FIRST FINL BANKSHARES          COM            32020R109         21,000         434       X     28-12020      434     0           0
FIRST FINL CORP IND            COM            320218100     44,049,855   1,193,763       X     28-12020  1193763     0           0
FIRST HORIZON NATL CORP        COM            320517105         97,014       9,033       X     28-4635         0     0        9033
FIRST HORIZON NATL CORP        COM            320517105        258,741      24,096       X     28-12020    21969     0        2127
FIRST INDUSTRIAL REALTY TRUS   COM            32054K103          2,960       1,263       X     28-12020     1263     0           0
FIRST MARBLEHEAD CORP          COM            320771108          4,000       3,414       X     28-12020     3414     0           0
FIRST MERCHANTS CORP           COM            320817109         11,643       1,112       X     28-12020     1112     0           0
FIRST MERCURY FINANCIAL CORP   COM            320841109         10,000         668       X     28-12020      668     0           0
FIRST MIDWEST BANCORP D E L    COM            320867104         26,897       3,150       X     28-12020     3150     0           0
FIRST NIAGARA FINL GP I N C    COM            33582V108        304,920      28,000       X     28-4635         0     0       28000
FIRST NIAGARA FINL GP I N C    COM            33582V108        837,000      76,755       X     28-12020    76755     0           0







                                                                                                                  FILE NO. 28-1235
PAGE 270 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                      ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
FIRST PL FINL CORP             COM            33610T109        302,400      90,000       X     28-12020    90000     0           0
FIRST POTOMAC RLTY TR          COM            33610F109          1,838         287       X     28-12020      287     0           0
FIRST SOLAR INC                COM            336433107      4,170,628      31,429       X     28-4635         0     0       31429
FIRST SOLAR INC                COM            336433107      3,358,547      25,311       X     28-12020    25311     0           0
FIRST SOUTH BANCORP INC VA     COM            33646W100          4,000         403       X     28-12020      403     0           0
FIRST TR ACTIVE DIVID I NCOME  COM            33731L100         17,660       2,000       X     28-12020        0     0        2000
FIRST TR VALUE LINE 100 ETF    COM SHS        33735G107          8,410       1,000       X     28-12020     1000     0           0
FIRSTENERGY CORP               COM            337932107        840,747      21,781       X     28-4635         0     0       21781
FIRSTENERGY CORP               COM            337932107     23,125,770     599,116       X     28-12020   577098     0       22018
FIRSTMERIT CORP                COM            337915102      1,738,474      95,548       X     28-12020    94676     0         872
FIRSTSERVICE CORP              SUB VTG SH     33761N109      1,599,825     192,750       X     28-4635         0     0      192750
FIRSTSERVICE CORP              SUB VTG SH     33761N109      2,902,000     349,689       X     28-12020   349689     0           0
FISERV INC                     COM            337738108        490,278      13,447       X     28-4635         0     0       13447
FISERV INC                     COM            337738108        616,951      16,921       X     28-12020    16921     0           0
FLAGSTAR BANCORP INC           COM            337930101              0          69       X     28-12020       69     0           0
FLAGSTONE REINSURANCE H LDGS   SHS            G3529T105              0          40       X     28-12020       40     0           0
FLAMEL TECHNOLOGIES SA         SPONSORED ADR  338488109          3,000         500       X     28-12020      500     0           0
FLEETWOOD ENTERPRISES I N C CO ED             339099103          1,258      34,000       X     28-12020    34000     0           0
FLEXTRONICS INTL LTD           ORD            Y2573F102          8,627       2,985       X     28-12020     2985     0           0
FLIR SYS INC                   COM            302445101      1,298,125      63,385       X     28-4635         0     0       63385
FLIR SYS INC                   COM            302445101      1,822,000      88,986       X     28-12020    88986     0           0
FLOTEK INDS INC DEL            COM            343389102          1,000         887       X     28-12020      887     0           0
FLOW INTL CORP                 COM            343468104          6,642       4,100       X     28-4635         0     0        4100
FLOW INTL CORP                 COM            343468104            810         500       X     28-12020        0     0         500
FLOWERS FOODS INC              COM            343498101        741,968      31,600       X     28-4635         0     0       31600
FLOWERS FOODS INC              COM            343498101      1,386,000      59,030       X     28-12020    59030     0           0
FLOWSERVE CORP                 COM            34354P105        289,467       5,158       X     28-4635         0     0        5158
FLOWSERVE CORP                 COM            34354P105        314,688       5,604       X     28-12020     5604     0           0
FLUOR CORP NEW                 COM            343412102        471,953      13,660       X     28-4635         0     0       13660
FLUOR CORP NEW                 COM            343412102        632,954      18,308       X     28-12020    17848     0         460
FMC TECHNOLOGIES INC           COM            30249U101        249,454       7,952       X     28-4635         0     0        7952
FMC TECHNOLOGIES INC           COM            30249U101         73,411       2,335       X     28-12020     2158     0         177
FNB CORP PA                    COM            302520101        276,005      36,005       X     28-12020    33705     0        2300
FOCUS MEDIA HLDG LTD           SPONSORED ADR  34415V109          3,400         500       X     28-12020      500     0           0
FOMENTO ECONOMICO MEXIC ANO S  SPON ADR UNITS 344419106            328          13       X     28-12020       13     0           0
FOOT LOCKER INC                COM            344849104         17,000       1,669       X     28-12020     1669     0           0
FORCE PROTECTION INC           COM NEW        345203202          9,000       1,959       X     28-12020     1959     0           0
FORD MTR CO CAP TR II          PFD TR CV6.5%  345395206         11,186       1,400       X     28-12020     1400     0           0
FORD MTR CO DEL                COM PAR $0.01  345370860        277,602     105,552       X     28-4635         0     0      105552
FORD MTR CO DEL                COM PAR $0.01  345370860        636,889     241,992       X     28-12020   237985     0        4007
FOREST CITY ENTERPRISES INC    CL A           345550107          6,962       1,934       X     28-4635         0     0        1934
FOREST CITY ENTERPRISES INC    CL A           345550107         70,149      19,513       X     28-12020    19513     0           0
FOREST LABS INC                COM            345838106        383,224      17,451       X     28-4635         0     0       17451
FOREST LABS INC                COM            345838106        412,626      18,776       X     28-12020    18776     0           0
FOREST OIL CORP                COM PAR $0.01  346091705         15,000       1,163       X     28-12020     1163     0           0
FORESTAR GROUP INC             COM            346233109          3,520         457       X     28-12020      457     0           0
FORGENT NETWORKS INC           COM            34629U103            219       1,500       X     28-12020        0     0        1500
FORMFACTOR INC                 COM            346375108         15,000         812       X     28-12020      812     0           0
FORRESTER RESH INC             COM            346563109          1,000          39       X     28-12020       39     0           0
FORTUNE BRANDS INC             COM            349631101        291,408      11,870       X     28-4635         0     0       11870
FORTUNE BRANDS INC             COM            349631101     10,838,343     441,482       X     28-12020   431265     0       10217







                                                                                                                  FILE NO. 28-1235
PAGE 271 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                      ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
FORWARD AIR CORP               COM            349853101         22,173       1,391       X     28-12020     1391     0           0
FOSSIL INC                     COM            349882100         26,690       1,700       X     28-4635         0     0        1700
FOSSIL INC                     COM            349882100          7,000         419       X     28-12020      419     0           0
FOSTER L B CO                  COM            350060109         85,000       3,441       X     28-12020     3441     0           0
FOSTER WHEELER AG              COM            H27178104         68,570       3,925       X     28-4635         0     0        3925
FOSTER WHEELER AG              COM            H27178104     14,000,494     801,398       X     28-12020   780653     0       20745
FOUNDATION COAL HLDGS I N C    COM            35039W100        139,181       9,699       X     28-4635         0     0        9699
FOUNDATION COAL HLDGS I N C    COM            35039W100        796,750      55,507       X     28-12020    30507     0       25000
FPB BANCORP INC                COM            30254M101          2,755       1,102       X     28-12020     1102     0           0
FPIC INS GROUP INC             COM            302563101         87,021       2,350       X     28-4635         0     0        2350
FPIC INS GROUP INC             COM            302563101        835,000      22,560       X     28-12020    22560     0           0
FPL GROUP INC                  COM            302571104      3,602,033      71,004       X     28-4635         0     0       71004
FPL GROUP INC                  COM            302571104     45,694,769     900,741       X     28-12020   882678     0       18063
FRANCE TELECOM                 SPONSORED ADR  35177Q105          6,322         279       X     28-12020      279     0           0
FRANKLIN ELEC INC              COM            353514102        263,647      11,930       X     28-12020    11930     0           0
FRANKLIN RES INC               COM            354613101        647,356      12,017       X     28-4635         0     0       12017
FRANKLIN RES INC               COM            354613101     36,438,369     676,408       X     28-12020   653274     0       23134
FRANKLIN STREET PPTYS C ORP    COM            35471R106        416,895      33,860       X     28-12020    33860     0           0
FRANKLIN TEMPLETON LTD DUR I   COM            35472T101         30,328       3,400       X     28-12020     3400     0           0
FREDS INC                      CL A           356108100          6,000         490       X     28-12020      490     0           0
FREEPORT-MCMORAN COPPER & GO   PFD CONV       35671D782         96,275       1,500       X     28-12020     1500     0           0
FREEPORT-MCMORAN COPPER & GO   COM            35671D857      1,010,792      26,523       X     28-4635         0     0       26523
FREEPORT-MCMORAN COPPER & GO   COM            35671D857      1,297,925      34,067       X     28-12020    33076     0         991
FREIGHTCAR AMER INC            COM            357023100        198,201      11,325       X     28-12020    11325     0           0
FRESENIUS KABI PHARMACE UTHLD  RIGHT
                               06/30/2011     35802M115            222         600       X     28-4635         0     0         600
FRESENIUS MED CARE AG&C O KGA  SPONSORED ADR  358029106        106,889       2,762       X     28-12020     2762     0           0
FRESH DEL MONTE PRODUCE INC    ORD            G36738105        343,999      20,950       X     28-4635         0     0       20950
FRESH DEL MONTE PRODUCE INC    ORD            G36738105        340,000      20,734       X     28-12020    20734     0           0
FRIEDMAN BILLINGS RAMSE Y GRO  CL A           358434108          1,000       6,573       X     28-12020     6573     0           0
FRONTIER COMMUNICATIONS CORP   COM            35906A108        117,070      16,305       X     28-4635         0     0       16305
FRONTIER COMMUNICATIONS CORP   COM            35906A108      5,586,863     778,142       X     28-12020   738504     0       39638
FRONTIER FINL CORP WASH        COM            35907K105          1,000         919       X     28-12020      919     0           0
FRONTIER OIL CORP              COM            35914P105         42,501       3,323       X     28-4635         0     0        3323
FRONTIER OIL CORP              COM            35914P105         27,000       2,138       X     28-12020     2138     0           0
FRONTLINE LTD                  SHS            G3682E127         28,173       1,631       X     28-12020     1631     0           0
FTI CONSULTING INC             COM            302941109         52,845       1,068       X     28-4635         0     0        1068
FTI CONSULTING INC             COM            302941109         39,492         805       X     28-12020      805     0           0
FUEL SYS SOLUTIONS INC         COM            35952W103         14,784       1,068       X     28-12020     1068     0           0
FUEL TECH INC                  COM            359523107          7,845         750       X     28-12020      750     0           0
FUELCELL ENERGY INC            COM            35952H106          8,000       3,480       X     28-12020     3480     0           0
FULLER H B CO                  COM            359694106         14,300       1,100       X     28-4635         0     0        1100
FULLER H B CO                  COM            359694106          7,000         522       X     28-12020      522     0           0
FULTON FINL CORP PA            COM            360271100        595,266      89,734       X     28-12020    89734     0           0
FUQI INTERNATIONAL INC         COM NEW        36102A207          1,410         300       X     28-12020      300     0           0
FURMANITE CORPORATION          COM            361086101         31,100      10,000       X     28-12020    10000     0           0
FURNITURE BRANDS INTL I N C    COM            360921100              0          88       X     28-12020       88     0           0
FX ENERGY INC                  COM            302695101          6,000       2,034       X     28-12020     2034     0           0
G & K SVCS INC                 CL A           361268105        170,190       9,000       X     28-4635         0     0        9000
G & K SVCS INC                 CL A           361268105        465,000      24,604       X     28-12020    24604     0           0
GABELLI DIVD & INCOME T R      COM            36242H104         64,128       7,680       X     28-12020     2680     0        5000
GABELLI GLB GLD NAT RES & IN   COM SHS BN INT 36244N109         18,816       1,200       X     28-12020     1200     0           0







                                                                                                                  FILE NO. 28-1235
PAGE 272 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                      ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
GAIAM INC                      CL A           36268Q103          1,000         401       X     28-12020      401     0           0
GALLAGHER ARTHUR J & CO        COM            363576109          4,675         275       X     28-4635         0     0         275
GALLAGHER ARTHUR J & CO        COM            363576109        422,000      24,826       X     28-12020    24826     0           0
GAMCO INVESTORS INC            COM            361438104          9,000         287       X     28-12020      287     0           0
GAMESTOP CORP NEW              CL A           36467W109        361,374      12,897       X     28-4635         0     0       12897
GAMESTOP CORP NEW              CL A           36467W109        409,371      14,621       X     28-12020    14422     0         199
GANNETT INC                    COM            364730101         22,026      10,012       X     28-4635         0     0       10012
GANNETT INC                    COM            364730101         68,260      30,923       X     28-12020    26473     0        4450
GAP INC DEL                    COM            364760108      2,330,471     179,405       X     28-4635         0     0      179405
GAP INC DEL                    COM            364760108      4,948,941     381,016       X     28-12020   381016     0           0
GARDNER DENVER INC             COM            365558105        783,184      36,025       X     28-4635         0     0       36025
GARDNER DENVER INC             COM            365558105      1,200,000      55,196       X     28-12020    55196     0           0
GARMIN LTD                     ORD            G37260109         80,810       3,810       X     28-4635         0     0        3810
GARMIN LTD                     ORD            G37260109        409,230      19,292       X     28-12020    18942     0         350
GARTNER INC                    COM            366651107          8,354         797       X     28-12020      797     0           0
GATX CORP                      COM            361448103          7,081         350       X     28-4635         0     0         350
GATX CORP                      COM            361448103        722,791      35,714       X     28-12020    35714     0           0
GAYLORD ENTMT CO NEW           COM            367905106          4,000         472       X     28-12020      472     0           0
GEN-PROBE INC NEW              COM            36866T103        128,855       2,827       X     28-4635         0     0        2827
GEN-PROBE INC NEW              COM            36866T103         41,000         897       X     28-12020      897     0           0
GENCO SHIPPING & TRADIN G LTD  SHS            Y2685T107          2,000         181       X     28-12020      181     0           0
GENCORP INC                    COM            368682100          2,120       1,221       X     28-12020     1221     0           0
GENENTECH INC                  COM NEW        368710406        209,314       2,204       X     28-12020     2113     0          91
GENERAL AMERN INVS INC         COM            368802104          5,710         372       X     28-12020      372     0           0
GENERAL CABLE CORP DEL NEW     COM            369300108         47,092       2,376       X     28-4635         0     0        2376
GENERAL CABLE CORP DEL NEW     COM            369300108         16,000         805       X     28-12020      805     0           0
GENERAL COMMUNICATION I N C    CL A           369385109         50,000       7,509       X     28-12020     7509     0           0
GENERAL DYNAMICS CORP          COM            369550108        750,533      18,046       X     28-4635         0     0       18046
GENERAL DYNAMICS CORP          COM            369550108      5,947,108     143,000       X     28-12020   142852     0         148
GENERAL ELECTRIC CO            COM            369604103      8,509,547     841,696       X     28-4635         0     0      841696
GENERAL ELECTRIC CO            COM            369604103    101,115,062  10,001,468       X     28-12020  9413313     0      588155
GENERAL GROWTH PPTYS IN C      COM            370021107          2,918       4,110       X     28-4635         0     0        4110
GENERAL GROWTH PPTYS IN C      COM            370021107          3,420       5,281       X     28-12020     5281     0           0
GENERAL MLS INC                COM            370334104     17,077,615     342,374       X     28-4635         0     0      342374
GENERAL MLS INC                COM            370334104     32,288,321     647,329       X     28-12020   633520     0       13809
GENERAL MTRS CORP              COM            370442105         52,256      26,936       X     28-4635         0     0       26936
GENERAL MTRS CORP              COM            370442105        149,880      76,740       X     28-12020    75540     0        1200
GENERAL STEEL HOLDINGS INC     COM            370853103            526         200       X     28-12020      200     0           0
GENESCO INC                    COM            371532102        305,046      16,200       X     28-4635         0     0       16200
GENESCO INC                    COM            371532102        825,000      43,800       X     28-12020    43800     0           0
GENESEE & WYO INC              CL A           371559105         13,910         634       X     28-12020      634     0           0
GENESIS LEASE LTD              ADR            37183T107          2,780       1,000       X     28-12020     1000     0           0
GENOMIC HEALTH INC             COM            37244C101          9,000         356       X     28-12020      356     0           0
GENTEX CORP                    COM            371901109         48,047       4,824       X     28-4635         0     0        4824
GENTEX CORP                    COM            371901109        117,094      11,770       X     28-12020    11770     0           0
GENTIVA HEALTH SERVICES INC    COM            37247A102        225,720      14,850       X     28-4635         0     0       14850
GENTIVA HEALTH SERVICES INC    COM            37247A102        211,000      13,855       X     28-12020    13855     0           0
GENUINE PARTS CO               COM            372460105        237,745       7,962       X     28-4635         0     0        7962
GENUINE PARTS CO               COM            372460105      1,591,758      53,302       X     28-12020    53302     0           0
GENWORTH FINL INC              COM CL A       37247D106         37,542      19,759       X     28-4635         0     0       19759
GENWORTH FINL INC              COM CL A       37247D106         49,513      25,983       X     28-12020    25583     0         400







                                                                                                                  FILE NO. 28-1235
PAGE 273 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                      ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
GENZYME CORP                   COM            372917104     15,184,182     255,669       X     28-4635         0     0      255669
GENZYME CORP                   COM            372917104     20,270,534     341,319       X     28-12020   339139     0        2180
GEO GROUP INC                  COM            36159R103        157,675      11,900       X     28-4635         0     0       11900
GEO GROUP INC                  COM            36159R103          4,000         279       X     28-12020      279     0           0
GEOEYE INC                     COM            37250W108         12,000         590       X     28-12020      590     0           0
GEOGLOBAL RESOURCES INC        COM            37249T109          2,000       3,395       X     28-12020     3395     0           0
GEORESOURCES INC               COM            372476101          3,000         488       X     28-12020      488     0           0
GERON CORP                     COM            374163103          1,743         390       X     28-12020      390     0           0
GETTY RLTY CORP NEW            COM            374297109          3,670         200       X     28-4635         0     0         200
GETTY RLTY CORP NEW            COM            374297109        314,000      17,103       X     28-12020    17103     0           0
GEVITY HR INC                  COM            374393106              0          15       X     28-12020       15     0           0
GFI GROUP INC                  COM            361652209          2,000         612       X     28-12020      612     0           0
GIANT INTERACTIVE GROUP INC    ADR            374511103         16,320       2,400       X     28-4635         0     0        2400
GIBRALTAR INDS INC             COM            374689107          3,000         654       X     28-12020      654     0           0
GILDAN ACTIVEWEAR INC          COM            375916103        986,904     121,840       X     28-4635         0     0      121840
GILDAN ACTIVEWEAR INC          COM            375916103      1,796,292     221,799       X     28-12020   221799     0           0
GILEAD SCIENCES INC            COM            375558103     13,278,879     286,677       X     28-4635         0     0      286677
GILEAD SCIENCES INC            COM            375558103     22,561,611     487,082       X     28-12020   475650     0       11432
GIVEN IMAGING                  ORD SHS        M52020100         56,833       8,050       X     28-12020     8050     0           0
GLACIER BANCORP INC NEW        COM            37637Q105      2,364,198     150,490       X     28-4635         0     0      150490
GLACIER BANCORP INC NEW        COM            37637Q105      3,923,000     249,733       X     28-12020   249733     0           0
GLADSTONE CAPITAL CORP         COM            376535100          6,260       1,000       X     28-12020     1000     0           0
GLADSTONE COML CORP            COM            376536108          4,840         545       X     28-12020      545     0           0
GLATFELTER                     COM            377316104          9,360       1,500       X     28-4635         0     0        1500
GLATFELTER                     COM            377316104          9,000       1,402       X     28-12020     1402     0           0
GLAXOSMITHKLINE PLC            SPONSORED ADR  37733W105         41,168       1,325       X     28-4635         0     0        1325
GLAXOSMITHKLINE PLC            SPONSORED ADR  37733W105     14,769,186     475,352       X     28-12020   468340     0        7012
GLG PARTNERS INC               COM            37929X107          5,000       1,663       X     28-12020     1663     0           0
GLOBAL CASH ACCESS HLDG S INC  COM            378967103              0         100       X     28-12020      100     0           0
GLOBAL INCOME&CURRENCY FD IN   COM            378968101         13,380       1,000       X     28-12020     1000     0           0
GLOBAL INDS LTD                COM            379336100          6,000       1,598       X     28-12020     1598     0           0
GLOBAL PMTS INC                COM            37940X102         71,965       2,154       X     28-4635         0     0        2154
GLOBAL PMTS INC                COM            37940X102        480,640      14,398       X     28-12020    14398     0           0
GLOBAL SOURCES LTD             ORD            G39300101          4,000         910       X     28-12020      910     0           0
GLOBALSTAR INC                 COM            378973408          7,000      20,000       X     28-12020    20000     0           0
GMX RES INC                    COM            38011M108          1,000         126       X     28-12020      126     0           0
GOLAR LNG LTD BERMUDA          SHS            G9456A100          3,000         764       X     28-12020      764     0           0
GOLDCORP INC NEW               *W EXP
                               06/09/201      380956177             45           5       X     28-12020        5     0           0
GOLDCORP INC NEW               COM            380956409        410,869      12,331       X     28-12020     7831     0        4500
GOLDMAN SACHS GROUP INC        COM            38141G104     15,607,310     147,211       X     28-4635         0     0      147211
GOLDMAN SACHS GROUP INC        COM            38141G104     29,967,545     282,656       X     28-12020   273553     0        9103
GOODRICH CORP                  COM            382388106        455,438      12,020       X     28-4635         0     0       12020
GOODRICH CORP                  COM            382388106        699,462      18,454       X     28-12020    17946     0         508
GOODYEAR TIRE & RUBR CO        COM            382550101        106,814      17,063       X     28-4635         0     0       17063
GOODYEAR TIRE & RUBR CO        COM            382550101        111,049      17,762       X     28-12020    17762     0           0
GOOGLE INC                     CL A           38259P508     22,498,250      64,639       X     28-4635         0     0       64639
GOOGLE INC                     CL A           38259P508     41,462,187     119,125       X     28-12020   115917     0        3208
GORMAN RUPP CO                 COM            383082104         96,030       4,850       X     28-4635         0     0        4850
GORMAN RUPP CO                 COM            383082104         26,116       1,319       X     28-12020     1319     0           0
GRACE W R & CO DEL NEW         COM            38388F108         42,344       6,700       X     28-4635         0     0        6700
GRACE W R & CO DEL NEW         COM            38388F108         12,936       2,097       X     28-12020     2097     0           0







                                                                                                                  FILE NO. 28-1235
PAGE 274 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                      ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
GRACO INC                      COM            384109104      1,133,431      66,399       X     28-4635         0     0       66399
GRACO INC                      COM            384109104      1,974,000     115,620       X     28-12020   115620     0           0
GRAFTECH INTL LTD              COM            384313102        692,754     112,460       X     28-4635         0     0      112460
GRAFTECH INTL LTD              COM            384313102        790,320     128,268       X     28-12020   126268     0        2000
GRAHAM CORP                    COM            384556106          5,588         626       X     28-12020      626     0           0
GRAINGER W W INC               COM            384802104        328,934       4,687       X     28-4635         0     0        4687
GRAINGER W W INC               COM            384802104        308,108       4,389       X     28-12020     4389     0           0
GRAMERCY CAP CORP              COM            384871109          1,000       1,257       X     28-12020     1257     0           0
GRAN TIERRA ENERGY INC         COM            38500T101          4,000       1,422       X     28-12020     1422     0           0
GRANITE CONSTR INC             COM            387328107         79,000       2,100       X     28-12020     2100     0           0
GRAY TELEVISION INC            COM            389375106              0       1,380       X     28-12020     1380     0           0
GREAT NORTHN IRON ORE P PTYS   CTFS BEN INT   391064102         12,000         150       X     28-12020      150     0           0
GREAT PLAINS ENERGY INC        COM            391164100         28,480       2,142       X     28-12020     2014     0         128
GREATBATCH INC                 COM            39153L106         19,350       1,000       X     28-4635         0     0        1000
GREATBATCH INC                 COM            39153L106        576,000      29,782       X     28-12020    29782     0           0
GREEN BANKSHARES INC           COM NEW        394361208          4,000         460       X     28-12020      460     0           0
GREEN MTN COFFEE ROASTE RS IN  COM            393122106         11,600         250       X     28-12020      250     0           0
GREENHILL & CO INC             COM            395259104         20,231         278       X     28-12020      278     0           0
GREIF INC                      CL A           397624107        183,095       5,500       X     28-4635         0     0        5500
GREIF INC                      CL A           397624107        354,998      10,660       X     28-12020     9660     0        1000
GRIFFON CORP                   COM            398433102          7,000         943       X     28-12020      943     0           0
GRUBB & ELLIS CO               COM PAR $0.01  400095204          1,000         849       X     28-12020      849     0           0
GRUMA SAB DE CV                SPON ADR CL B  400131306            129          88       X     28-12020       88     0           0
GRUPO TELEVISA SA DE CV        SP ADR REP ORD 40049J206         21,824       1,600       X     28-4635         0     0        1600
GUARANTY FINL GROUP INC        COM            40108N106          1,421         954       X     28-12020      954     0           0
GUESS INC                      COM            401617105         20,000         934       X     28-12020      934     0           0
GULF ISLAND FABRICATION INC    COM            402307102              0           5       X     28-12020        5     0           0
GULFMARK OFFSHORE INC          COM            402629109         66,573       2,787       X     28-12020     2787     0           0
GULFPORT ENERGY CORP           COM NEW        402635304          3,000       1,153       X     28-12020     1153     0           0
GYMBOREE CORP                  COM            403777105        102,480       4,800       X     28-4635         0     0        4800
GYMBOREE CORP                  COM            403777105          4,000         192       X     28-12020      192     0           0
H & Q HEALTHCARE FD            SH BEN INT     404052102          5,518         548       X     28-12020      548     0           0
HACKETT GROUP INC              COM            404609109          1,616         800       X     28-12020      800     0           0
HADERA PAPER LTD               SHS            M52514102          1,351          35       X     28-12020        0     0          35
HAEMONETICS CORP               COM            405024100      1,250,316      22,700       X     28-4635         0     0       22700
HAEMONETICS CORP               COM            405024100        586,000      10,638       X     28-12020    10638     0           0
HAIN CELESTIAL GROUP IN C      COM            405217100          5,712         383       X     28-12020      383     0           0
HALLIBURTON CO                 COM            406216101      1,047,628      67,720       X     28-4635         0     0       67720
HALLIBURTON CO                 COM            406216101      1,404,029      90,741       X     28-12020    84481     0        6260
HALLMARK FINL SVCS INC EC      COM NEW        40624Q203          6,000         848       X     28-12020      848     0           0
HANCOCK HLDG CO                COM            410120109         15,000         478       X     28-12020      478     0           0
HANCOCK JOHN PFD INCOME FD I   COM            41013X106          4,284         400       X     28-12020      400     0           0
HANESBRANDS INC                COM            410345102        116,461      12,150       X     28-12020    12150     0           0
HANGER ORTHOPEDIC GROUP INC    COM NEW        41043F208        142,000      10,753       X     28-12020    10753     0           0
HANOVER INS GROUP INC          COM            410867105         58,518       2,042       X     28-12020     2042     0           0
HANSEN NAT CORP                COM            411310105         97,488       2,708       X     28-4635         0     0        2708
HANSEN NAT CORP                COM            411310105         35,000         975       X     28-12020      975     0           0
HARBIN ELECTRIC INC            COM            41145W109            375          61       X     28-12020       61     0           0
HARLEY DAVIDSON INC            COM            412822108        226,800      16,938       X     28-4635         0     0       16938
HARLEY DAVIDSON INC            COM            412822108      1,756,796     131,238       X     28-12020   121107     0       10131
HARLEYSVILLE GROUP INC         COM            412824104          1,000          32       X     28-12020       32     0           0







                                                                                                                  FILE NO. 28-1235
PAGE 275 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                      ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
HARLEYSVILLE NATL CORP PA      COM            412850109              0          35       X     28-12020       35     0           0
HARMAN INTL INDS INC           COM            413086109         66,162       4,890       X     28-4635         0     0        4890
HARMAN INTL INDS INC           COM            413086109         45,216       3,375       X     28-12020     3375     0           0
HARMONIC INC                   COM            413160102         16,250       2,500       X     28-4635         0     0        2500
HARMONIC INC                   COM            413160102        174,300      26,863       X     28-12020    19863     0        7000
HARRIS CORP DEL                COM            413875105        275,104       9,506       X     28-4635         0     0        9506
HARRIS CORP DEL                COM            413875105        410,856      14,190       X     28-12020    12631     0        1559
HARSCO CORP                    COM            415864107        470,979      21,244       X     28-4635         0     0       21244
HARSCO CORP                    COM            415864107      1,091,159      49,226       X     28-12020    49226     0           0
HARTE-HANKS INC                COM            416196103          2,391         363       X     28-12020      363     0           0
HARTFORD FINL SVCS GROU P INC  COM            416515104        112,027      14,271       X     28-4635         0     0       14271
HARTFORD FINL SVCS GROU P INC  COM            416515104        223,781      28,493       X     28-12020    26590     0        1903
HARVEST ENERGY TR              TRUST UNIT     41752X101          7,200       2,000       X     28-12020     2000     0           0
HASBRO INC                     COM            418056107        183,036       7,301       X     28-4635         0     0        7301
HASBRO INC                     COM            418056107        207,285       8,250       X     28-12020     8250     0           0
HATTERAS FINL CORP             COM            41902R103         87,465       3,500       X     28-4635         0     0        3500
HATTERAS FINL CORP             COM            41902R103        224,000       8,950       X     28-12020     8950     0           0
HAVERTY FURNITURE INC          COM            419596101          4,000         409       X     28-12020      409     0           0
HAWAIIAN ELEC INDUSTRIE S      COM            419870100         96,489       7,019       X     28-12020     7019     0           0
HAYNES INTERNATIONAL IN C      COM NEW        420877201          3,000         186       X     28-12020      186     0           0
HCC INS HLDGS INC              COM            404132102         95,544       3,802       X     28-12020     3802     0           0
HCP INC                        COM            40414L109        198,296      11,109       X     28-4635         0     0       11109
HCP INC                        COM            40414L109      2,492,941     139,681       X     28-12020   134765     0        4916
HEADWATERS INC                 COM            42210P102          4,942       1,627       X     28-12020     1627     0           0
HEALTH CARE REIT INC           COM            42217K106        548,020      17,915       X     28-4635         0     0       17915
HEALTH CARE REIT INC           COM            42217K106        390,681      12,774       X     28-12020    10762     0        2012
HEALTH MGMT ASSOC INC N E W    CL A           421933102         13,844       5,496       X     28-12020     5496     0           0
HEALTH NET INC                 COM            42222G108         24,000       1,666       X     28-12020     1666     0           0
HEALTHCARE RLTY TR             COM            421946104          9,499         634       X     28-12020      634     0           0
HEALTHCARE SVCS GRP INC        COM            421906108         11,632         773       X     28-12020      773     0           0
HEALTHSOUTH CORP               COM NEW        421924309          8,000         911       X     28-12020      911     0           0
HEALTHSPRING INC               COM            42224N101        103,370      12,350       X     28-4635         0     0       12350
HEALTHSPRING INC               COM            42224N101        282,000      33,716       X     28-12020    33716     0           0
HEALTHWAYS INC                 COM            422245100          5,000         557       X     28-12020      557     0           0
HEARST-ARGYLE TELEVISIO N INC  COM            422317107              0          53       X     28-12020       53     0           0
HEARTLAND EXPRESS INC          COM            422347104          6,000         399       X     28-12020      399     0           0
HEARTLAND FINL USA INC         COM            42234Q102          6,000         409       X     28-12020      409     0           0
HECLA MNG CO                   COM            422704106          2,000       1,030       X     28-12020     1030     0           0
HEICO CORP NEW                 COM            422806109         79,000       3,236       X     28-12020     3236     0           0
HEIDRICK & STRUGGLES IN TL IN  COM            422819102         10,000         554       X     28-12020      554     0           0
HEINZ H J CO                   COM            423074103        661,564      20,011       X     28-4635         0     0       20011
HEINZ H J CO                   COM            423074103     15,157,575     458,500       X     28-12020   439924     0       18576
HELEN OF TROY CORP LTD         COM            G4388N106          1,000          60       X     28-12020       60     0           0
HELIX ENERGY SOLUTIONS GRP I   COM            42330P107         15,836       3,081       X     28-4635         0     0        3081
HELIX ENERGY SOLUTIONS GRP I   COM            42330P107          6,640       1,214       X     28-12020     1214     0           0
HELMERICH & PAYNE INC          COM            423452101      1,755,112      77,080       X     28-4635         0     0       77080
HELMERICH & PAYNE INC          COM            423452101      2,520,755     110,727       X     28-12020   110079     0         648
HENRY JACK & ASSOC INC         COM            426281101         60,536       3,682       X     28-12020     3682     0           0
HERBALIFE LTD                  COM USD SHS    G4412G101        157,290      10,500       X     28-4635         0     0       10500
HERBALIFE LTD                  COM USD SHS    G4412G101        354,000      23,610       X     28-12020    23610     0           0
HERCULES OFFSHORE INC          COM            427093109          1,000         802       X     28-12020      802     0           0







                                                                                                                  FILE NO. 28-1235
PAGE 276 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                      ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
HERCULES TECH GROWTH CA P INC  COM            427096508          6,000       1,286       X     28-12020     1286     0           0
HERITAGE COMMERCE CORP         COM            426927109          2,000         383       X     28-12020      383     0           0
HERSHA HOSPITALITY TR          SH BEN INT A   427825104              0          49       X     28-12020       49     0           0
HERSHEY CO                     COM            427866108        334,087       9,614       X     28-4635         0     0        9614
HERSHEY CO                     COM            427866108      1,597,998      45,998       X     28-12020    44998     0        1000
HERTZ GLOBAL HOLDINGS I N C    COM            42805T105         14,267       3,714       X     28-12020     3714     0           0
HESS CORP                      COM            42809H107      1,153,159      21,276       X     28-4635         0     0       21276
HESS CORP                      COM            42809H107        865,076      15,954       X     28-12020    15954     0           0
HEWITT ASSOCS INC              COM            42822Q100         35,950       1,208       X     28-4635         0     0        1208
HEWITT ASSOCS INC              COM            42822Q100         46,000       1,561       X     28-12020     1561     0           0
HEWLETT PACKARD CO             COM            428236103      6,270,551     195,588       X     28-4635         0     0      195588
HEWLETT PACKARD CO             COM            428236103     29,517,239     920,685       X     28-12020   881226     0       39459
HEXCEL CORP NEW                COM            428291108        112,341      17,131       X     28-12020    17131     0           0
HIBBETT SPORTS INC             COM            428567101          1,000          73       X     28-12020       73     0           0
HIGHLAND CR STRATEGIES FD      COM            43005Q107          1,494         322       X     28-12020      322     0           0
HIGHWOODS PPTYS INC            COM            431284108         21,000       1,000       X     28-12020     1000     0           0
HILL ROM HLDGS INC             COM            431475102         16,813       1,700       X     28-4635         0     0        1700
HILL ROM HLDGS INC             COM            431475102      1,097,867     111,040       X     28-12020   111040     0           0
HILLENBRAND INC                COM            431571108         27,217       1,700       X     28-4635         0     0        1700
HILLENBRAND INC                COM            431571108      2,107,205     131,590       X     28-12020   131590     0           0
HITACHI LIMITED                ADR 10 COM     433578507          3,294         120       X     28-12020      120     0           0
HITTITE MICROWAVE CORP         COM            43365Y104          6,936         230       X     28-12020      230     0           0
HLTH CORPORATION               COM            40422Y101          3,602         348       X     28-4635         0     0         348
HLTH CORPORATION               COM            40422Y101         21,000       2,058       X     28-12020     2058     0           0
HMS HLDGS CORP                 COM            40425J101          3,000          99       X     28-12020       99     0           0
HNI CORP                       COM            404251100         30,969       2,967       X     28-12020     2967     0           0
HOKU SCIENTIFIC INC            COM            434712105          2,550       1,000       X     28-12020     1000     0           0
HOLLY CORP                     COM PAR $0.01  435758305         49,417       2,331       X     28-4635         0     0        2331
HOLLY CORP                     COM PAR $0.01  435758305         22,000       1,022       X     28-12020     1022     0           0
HOLLY ENERGY PARTNERS L P      COM UT LTD PTN 435763107        198,715       8,474       X     28-12020     8474     0           0
HOLOGIC INC                    COM            436440101      5,302,743     405,079       X     28-12020   391379     0       13700
HOME BANCSHARES INC            COM            436893200          9,000         473       X     28-12020      473     0           0
HOME DEPOT INC                 COM            437076102      1,806,604      76,681       X     28-4635         0     0       76681
HOME DEPOT INC                 COM            437076102     63,053,237   2,676,292       X     28-12020  2616965     0       59327
HOME PROPERTIES INC            COM            437306103         12,260         400       X     28-4635         0     0         400
HOME PROPERTIES INC            COM            437306103         19,000         608       X     28-12020      608     0           0
HONDA MOTOR LTD                AMERN SHS      438128308         21,093         890       X     28-4635         0     0         890
HONDA MOTOR LTD                AMERN SHS      438128308     12,863,859     542,800       X     28-12020   515774     0       27026
HONEYWELL INTL INC             COM            438516106      1,759,359      63,150       X     28-4635         0     0       63150
HONEYWELL INTL INC             COM            438516106     20,794,506     746,402       X     28-12020   711919     0       34483
HOOKER FURNITURE CORP          COM            439038100          5,000         610       X     28-12020      610     0           0
HORACE MANN EDUCATORS C ORP N  COM            440327104          2,000         260       X     28-12020      260     0           0
HORIZON FINL CORP WASH         COM            44041F105          1,790       1,000       X     28-12020     1000     0           0
HORIZON LINES INC              COM            44044K101          3,000       1,113       X     28-12020     1113     0           0
HORMEL FOODS CORP              COM            440452100        103,533       3,265       X     28-4635         0     0        3265
HORMEL FOODS CORP              COM            440452100      3,523,000     111,093       X     28-12020   111093     0           0
HORNBECK OFFSHORE SVCS INC N   COM            440543106         27,765       1,850       X     28-12020     1850     0           0
HOSPIRA INC                    COM            441060100        316,531      10,257       X     28-4635         0     0       10257
HOSPIRA INC                    COM            441060100      5,591,629     181,190       X     28-12020   179480     0        1710
HOSPITALITY PPTYS TR           COM SH BEN INT 44106M102         39,188       3,231       X     28-12020     3231     0           0
HOST HOTELS & RESORTS I N C    COM            44107P104         90,372      23,054       X     28-4635         0     0       23054







                                                                                                                  FILE NO. 28-1235
PAGE 277 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                      ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
HOST HOTELS & RESORTS I N C    COM            44107P104        158,006      40,231       X     28-12020    37424     0        2807
HOUSTON WIRE & CABLE CO        COM            44244K109      1,424,373     183,790       X     28-4635         0     0      183790
HOUSTON WIRE & CABLE CO        COM            44244K109      2,564,000     330,843       X     28-12020   330843     0           0
HOVNANIAN ENTERPRISES I N C    CL A           442487203          2,000       1,120       X     28-12020     1120     0           0
HRPT PPTYS TR                  COM SH BEN INT 40426W101        115,184      35,954       X     28-12020    35954     0           0
HSBC HLDGS PLC                 ADR A 1/40PF A 404280406        440,270      16,735       X     28-12020     9227     0        7508
HSN INC                        COM            404303109          1,742         339       X     28-4635         0     0         339
HSN INC                        COM            404303109          3,072         551       X     28-12020      551     0           0
HUANENG PWR INTL INC           SPON ADR H SHS 443304100          5,853         218       X     28-12020      218     0           0
HUB GROUP INC                  CL A           443320106          5,100         300       X     28-4635         0     0         300
HUB GROUP INC                  CL A           443320106          8,298         513       X     28-12020      513     0           0
HUBBELL INC                    CL A           443510102         44,888       1,750       X     28-12020     1750     0           0
HUBBELL INC                    CL B           443510201         10,514         390       X     28-4635         0     0         390
HUBBELL INC                    CL B           443510201      3,028,104     112,329       X     28-12020   112329     0           0
HUDSON CITY BANCORP            COM            443683107        361,876      30,956       X     28-4635         0     0       30956
HUDSON CITY BANCORP            COM            443683107        354,613      30,315       X     28-12020    30315     0           0
HUGOTON RTY TR TEX             UNIT BEN INT   444717102        317,392      33,200       X     28-4635         0     0       33200
HUGOTON RTY TR TEX             UNIT BEN INT   444717102        281,000      29,350       X     28-12020    29350     0           0
HUMAN GENOME SCIENCES I N C    COM            444903108          6,658       8,065       X     28-12020     1465     0        6600
HUMANA INC                     COM            444859102        420,670      16,130       X     28-4635         0     0       16130
HUMANA INC                     COM            444859102      5,793,572     222,159       X     28-12020   222159     0           0
HUNT J B TRANS SVCS INC        COM            445658107         72,547       3,009       X     28-4635         0     0        3009
HUNT J B TRANS SVCS INC        COM            445658107         34,362       1,428       X     28-12020     1428     0           0
HUNTINGTON BANCSHARES I N C    COM            446150104         25,989      15,656       X     28-4635         0     0       15656
HUNTINGTON BANCSHARES I N C    COM            446150104        329,829     198,757       X     28-12020   197419     0        1338
HUNTSMAN CORP                  COM            447011107          5,000       1,593       X     28-12020     1593     0           0
HURCO COMPANIES INC            COM            447324104          3,189         300       X     28-12020      300     0           0
HURON CONSULTING GROUP INC     COM            447462102      1,959,417      46,180       X     28-4635         0     0       46180
HURON CONSULTING GROUP INC     COM            447462102      3,304,000      77,867       X     28-12020    77867     0           0
HUTCHINSON TECHNOLOGY I N C    COM            448407106          2,000         627       X     28-12020      627     0           0
HYDROGENICS CORP               COM            448882100          1,599       3,675       X     28-12020     1175     0        2500
HYPERCOM CORP                  COM            44913M105          2,000       2,543       X     28-12020     2543     0           0
HYTHIAM INC                    COM            44919F104          3,100      10,000       X     28-12020    10000     0           0
I-FLOW CORP                    COM NEW        449520303            949         260       X     28-12020      260     0           0
I-MANY INC                     COM            44973Q103          3,750      15,000       X     28-12020    15000     0           0
I2 TECHNOLOGIES INC            COM NEW        465754208            506          64       X     28-12020       64     0           0
IAC INTERACTIVECORP            COM PAR $.001  44919P508         23,043       1,513       X     28-4635         0     0        1513
IAC INTERACTIVECORP            COM PAR $.001  44919P508         20,533       1,379       X     28-12020     1379     0           0
IAMGOLD CORP                   COM            450913108          5,387         630       X     28-12020      630     0           0
IBERIABANK CORP                COM            450828108         20,297         436       X     28-12020      436     0           0
ICF INTL INC                   COM            44925C103      1,881,013      81,890       X     28-4635         0     0       81890
ICF INTL INC                   COM            44925C103      3,419,000     148,867       X     28-12020   148867     0           0
ICICI BK LTD                   ADR            45104G104         15,948       1,200       X     28-4635         0     0        1200
ICON PUB LTD CO                SPONSORED ADR  45103T107        782,306      48,440       X     28-4635         0     0       48440
ICON PUB LTD CO                SPONSORED ADR  45103T107      1,302,349      80,670       X     28-12020    80670     0           0
ICONIX BRAND GROUP INC         COM            451055107          9,000       1,053       X     28-12020     1053     0           0
ICT GROUP INC                  COM            44929Y101          6,684       1,200       X     28-12020        0     0        1200
ICU MED INC                    COM            44930G107          1,000          16       X     28-12020       16     0           0
ICX TECHNOLOGIES INC           COM            44934T105            810         200       X     28-12020      200     0           0
IDACORP INC                    COM            451107106         74,752       3,200       X     28-4635         0     0        3200
IDACORP INC                    COM            451107106        227,110       9,711       X     28-12020     9711     0           0







                                                                                                                  FILE NO. 28-1235
PAGE 278 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                      ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
IDENIX PHARMACEUTICALS INC     COM            45166R204          5,000       1,602       X     28-12020     1602     0           0
IDEX CORP                      COM            45167R104      2,376,897     108,683       X     28-4635         0     0      108683
IDEX CORP                      COM            45167R104      4,245,000     194,100       X     28-12020   194100     0           0
IDEXX LABS INC                 COM            45168D104         35,514       1,027       X     28-4635         0     0        1027
IDEXX LABS INC                 COM            45168D104        181,152       5,251       X     28-12020     5251     0           0
IGATE CORP                     COM            45169U105          3,000         805       X     28-12020      805     0           0
IHS INC                        CL A           451734107        206,724       5,020       X     28-4635         0     0        5020
IHS INC                        CL A           451734107         22,000         540       X     28-12020      540     0           0
II VI INC                      COM            902104108         37,360       2,196       X     28-12020     2196     0           0
ILLINOIS TOOL WKS INC          COM            452308109        650,565      21,088       X     28-4635         0     0       21088
ILLINOIS TOOL WKS INC          COM            452308109     14,284,202     463,025       X     28-12020   434119     0       28906
ILLUMINA INC                   COM            452327109        237,033       6,365       X     28-4635         0     0        6365
ILLUMINA INC                   COM            452327109         91,500       2,451       X     28-12020     2451     0           0
IMAGE SENSING SYS INC          COM            45244C104          2,670         300       X     28-12020      300     0           0
IMATION CORP                   COM            45245A107          2,326         304       X     28-12020      304     0           0
IMMERSION CORP                 COM            452521107          7,032       2,400       X     28-4635         0     0        2400
IMMERSION CORP                 COM            452521107          1,172         454       X     28-12020      454     0           0
IMMUCOR INC                    COM            452526106        576,061      22,905       X     28-4635         0     0       22905
IMMUCOR INC                    COM            452526106        153,000       6,080       X     28-12020     6080     0           0
IMMUNOGEN INC                  COM            45253H101          3,550         500       X     28-12020      500     0           0
IMMUNOMEDICS INC               COM            452907108            672         700       X     28-12020        0     0         700
IMPERIAL OIL LTD               COM NEW        453038408        917,833      25,460       X     28-12020    25460     0           0
IMPERIAL SUGAR CO NEW          COM NEW        453096208          3,000         378       X     28-12020      378     0           0
IMS HEALTH INC                 COM            449934108        189,943      15,232       X     28-4635         0     0       15232
IMS HEALTH INC                 COM            449934108        799,440      64,123       X     28-12020    64123     0           0
INCYTE CORP                    COM            45337C102          2,000         826       X     28-12020      826     0           0
INDEPENDENT BANK CORP M ASS    COM            453836108              0          11       X     28-12020       11     0           0
INDEPENDENT BANK CORP M ICH    COM            453838104         67,685      28,925       X     28-12020    28925     0           0
INDIA FD INC                   COM            454089103         45,592       2,693       X     28-12020     2693     0           0
INDIANA COMMUNITY BANCO RP     COM            454674102          3,900         300       X     28-12020      300     0           0
INFINERA CORPORATION           COM            45667G103          7,070         894       X     28-12020      894     0           0
INFINITY PPTY & CAS COR P      COM            45665Q103         11,000         337       X     28-12020      337     0           0
INFOGROUP INC                  COM            45670G108          6,000       1,327       X     28-12020     1327     0           0
INFORMATICA CORP               COM            45666Q102      1,475,175     111,250       X     28-4635         0     0      111250
INFORMATICA CORP               COM            45666Q102        704,000      53,064       X     28-12020    53064     0           0
INFOSPACE INC                  COM NEW        45678T201          4,000         844       X     28-12020      844     0           0
INFOSYS TECHNOLOGIES LT D      SPONSORED ADR  456788108         87,879       3,300       X     28-4635         0     0        3300
ING CLARION GLB RE EST INCM    COM            44982G104         28,826       9,093       X     28-12020     9060     0          33
ING GLBL ADV & PREM OPP FUND   COM            44982N109          2,719         233       X     28-12020      233     0           0
ING GLOBAL EQTY DIV & P REM O  COM            45684E107          1,961         213       X     28-12020      213     0           0
ING GROEP N V                  SPONSORED ADR  456837103         32,640       6,000       X     28-4635         0     0        6000
ING GROEP N V                  SPONSORED ADR  456837103         14,492       2,664       X     28-12020     2664     0           0
ING RISK MANAGED NAT RE S FD   COM            449810100          3,087         225       X     28-12020      225     0           0
INGERSOLL-RAND COMPANY LTD     CL A           G4776G101        339,853      24,627       X     28-4635         0     0       24627
INGERSOLL-RAND COMPANY LTD     CL A           G4776G101        718,052      52,056       X     28-12020    52056     0           0
INGRAM MICRO INC               CL A           457153104         50,560       4,000       X     28-4635         0     0        4000
INGRAM MICRO INC               CL A           457153104         41,731       3,274       X     28-12020     3274     0           0
INLAND REAL ESTATE CORP        COM NEW        457461200          6,000         793       X     28-12020      793     0           0
INNOSPEC INC                   COM            45768S105          3,000         895       X     28-12020      895     0           0
INOVIO BIOMEDICAL CORP         COM            45773H102            975       2,500       X     28-12020        0     0        2500
INSIGHT ENTERPRISES INC        COM            45765U103          3,000         953       X     28-12020      953     0           0







                                                                                                                  FILE NO. 28-1235
PAGE 279 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                      ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
INSTEEL INDUSTRIES INC         COM            45774W108              0           8       X     28-12020        8     0           0
INTEGRA BK CORP                COM            45814P105              0          15       X     28-12020       15     0           0
INTEGRAL SYS INC MD            COM            45810H107         46,870       5,450       X     28-4635         0     0        5450
INTEGRAL SYS INC MD            COM            45810H107        443,000      51,502       X     28-12020    51502     0           0
INTEGRATED DEVICE TECHN OLOGY  COM            458118106        122,850      27,000       X     28-4635         0     0       27000
INTEGRATED DEVICE TECHN OLOGY  COM            458118106         15,000       3,402       X     28-12020     3402     0           0
INTEGRATED ELECTRICAL S V C    COM            45811E301            547          60       X     28-12020       60     0           0
INTEGRYS ENERGY GROUP I N C    COM            45822P105         86,895       3,337       X     28-4635         0     0        3337
INTEGRYS ENERGY GROUP I N C    COM            45822P105        245,173       9,414       X     28-12020     9414     0           0
INTEL CORP                     COM            458140100     23,565,086   1,567,870       X     28-4635         0     0     1567870
INTEL CORP                     COM            458140100     74,650,956   4,965,672       X     28-12020  4750557     0      215115
INTER PARFUMS INC              COM            458334109         25,652       4,400       X     28-4635         0     0        4400
INTER PARFUMS INC              COM            458334109         26,000       4,408       X     28-12020     4408     0           0
INTERACTIVE BROKERS GRO UP IN  COM            45841N107        779,079      48,300       X     28-4635         0     0       48300
INTERACTIVE BROKERS GRO UP IN  COM            45841N107        899,000      55,735       X     28-12020    55735     0           0
INTERACTIVE DATA CORP          COM            45840J107         21,000         834       X     28-12020      834     0           0
INTERCONTINENTALEXCHANG E INC  COM            45865V100        424,107       5,695       X     28-4635         0     0        5695
INTERCONTINENTALEXCHANG E INC  COM            45865V100        595,821       7,996       X     28-12020     7996     0           0
INTERDIGITAL INC               COM            45867G101        190,740       7,394       X     28-12020     7394     0           0
INTERFACE INC                  CL A           458665106          4,000       1,171       X     28-12020     1171     0           0
INTERLINE BRANDS INC           COM            458743101          1,000          65       X     28-12020       65     0           0
INTERMEC INC                   COM            458786100          3,000         281       X     28-12020      281     0           0
INTERMUNE INC                  COM            45884X103          8,000         500       X     28-12020      500     0           0
INTERNATIONAL BANCSHARE S COR  COM            459044103         80,340      10,300       X     28-4635         0     0       10300
INTERNATIONAL BANCSHARE S COR  COM            459044103        227,120      29,062       X     28-12020    29062     0           0
INTERNATIONAL BUSINESS MACHS   COM            459200101     10,904,872     112,549       X     28-4635         0     0      112549
INTERNATIONAL BUSINESS MACHS   COM            459200101     68,284,887     704,769       X     28-12020   627315     0       77454
INTERNATIONAL BUSINESS MACHS   COM            459200101      1,139,000       2,700       X     28-12020     2700     0           0
INTERNATIONAL COAL GRP INC N   COM            45928H106              0         245       X     28-12020      245     0           0
INTERNATIONAL FLAVORS&F RAGRA  COM            459506101        257,996       8,470       X     28-4635         0     0        8470
INTERNATIONAL FLAVORS&F RAGRA  COM            459506101      1,834,992      60,258       X     28-12020    60258     0           0
INTERNATIONAL GAME TECH NOLOG  COM            459902102        212,705      23,070       X     28-4635         0     0       23070
INTERNATIONAL GAME TECH NOLOG  COM            459902102        187,363      20,365       X     28-12020    19995     0         370
INTERNATIONAL RECTIFIER CORP   COM            460254105         11,000         788       X     28-12020      788     0           0
INTERNATIONAL SPEEDWAY CORP    CL A           460335201        922,108      41,800       X     28-4635         0     0       41800
INTERNATIONAL SPEEDWAY CORP    CL A           460335201        650,000      29,453       X     28-12020    29453     0           0
INTERNET CAP GROUP INC         COM NEW        46059C205             40          10       X     28-12020       10     0           0
INTEROIL CORP                  COM            460951106         28,000       1,000       X     28-12020        0     0        1000
INTERPUBLIC GROUP COS I N C    COM            460690100        162,447      39,429       X     28-4635         0     0       39429
INTERPUBLIC GROUP COS I N C    COM            460690100        154,808      37,483       X     28-12020    35439     0        2044
INTERSIL CORP                  CL A           46069S109         19,000       1,620       X     28-12020     1620     0           0
INTERVAL LEISURE GROUP INC     COM            46113M108          1,797         339       X     28-4635         0     0         339
INTERVAL LEISURE GROUP INC     COM            46113M108          3,074         551       X     28-12020      551     0           0
INTEVAC INC                    COM            461148108              0           8       X     28-12020        8     0           0
INTL PAPER CO                  COM            460146103        115,181      16,361       X     28-4635         0     0       16361
INTL PAPER CO                  COM            460146103        203,490      28,968       X     28-12020    28718     0         250
INTREPID POTASH INC            COM            46121Y102          6,000         305       X     28-12020      305     0           0
INTUIT                         COM            461202103        650,889      24,107       X     28-4635         0     0       24107
INTUIT                         COM            461202103      5,685,890     210,607       X     28-12020   210407     0         200
INTUITIVE SURGICAL INC         COM NEW        46120E602        261,191       2,739       X     28-4635         0     0        2739
INTUITIVE SURGICAL INC         COM NEW        46120E602        268,118       2,809       X     28-12020     2809     0           0







                                                                                                                  FILE NO. 28-1235
PAGE 280 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                      ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
INVACARE CORP                  COM            461203101        115,416       7,200       X     28-4635         0     0        7200
INVACARE CORP                  COM            461203101      4,125,326     257,330       X     28-12020   256798     0         532
INVENTIV HEALTH INC            COM            46122E105         10,608       1,300       X     28-4635         0     0        1300
INVENTIV HEALTH INC            COM            46122E105          8,080         934       X     28-12020      934     0           0
INVERNESS MED INNOVATIO NS IN  COM            46126P106         30,000       1,113       X     28-12020     1113     0           0
INVESCO LTD                    SHS            G491BT108     14,182,190   1,023,246       X     28-4635         0     0     1023246
INVESCO LTD                    SHS            G491BT108     25,940,785   1,871,651       X     28-12020  1837890     0       33761
INVESTMENT TECHNOLOGY G RP NE  COM            46145F105        346,715      13,586       X     28-4635         0     0       13586
INVESTMENT TECHNOLOGY G RP NE  COM            46145F105        316,332      12,407       X     28-12020    12407     0           0
INVESTORS BANCORP INC          COM            46146P102         10,000       1,129       X     28-12020     1129     0           0
INVESTORS REAL ESTATE T R      SH BEN INT     461730103         14,000       1,400       X     28-12020     1400     0           0
ION GEOPHYSICAL CORP           COM            462044108        386,116     247,510       X     28-4635         0     0      247510
ION GEOPHYSICAL CORP           COM            462044108        705,120     452,199       X     28-12020   452199     0           0
IOWA TELECOMM SERVICES INC     COM            462594201         10,000         860       X     28-12020      860     0           0
IPASS INC                      COM            46261V108          1,000       1,000       X     28-12020     1000     0           0
IPC HLDGS LTD                  ORD            G4933P101        811,200      30,000       X     28-4635         0     0       30000
IPC HLDGS LTD                  ORD            G4933P101        380,760      14,087       X     28-12020    14087     0           0
IPCS INC                       COM NEW        44980Y305          3,000         294       X     28-12020      294     0           0
IPG PHOTONICS CORP             COM            44980X109          2,526         300       X     28-12020      300     0           0
IRON MTN INC                   COM            462846106        278,987      12,584       X     28-4635         0     0       12584
IRON MTN INC                   COM            462846106        504,356      22,728       X     28-12020    22728     0           0
IRWIN FINL CORP                COM            464119106            390         200       X     28-12020      200     0           0
ISHARES COMEX GOLD TR          ISHARES        464285105        471,112       5,212       X     28-12020     5212     0           0
ISHARES INC                    MSCI AUSTRALIA 464286103          6,695         500       X     28-12020      500     0           0
ISHARES INC                    MSCI BRAZIL    464286400        147,407       3,910       X     28-12020     3910     0           0
ISHARES INC                    MSCI CDA INDEX 464286509         28,805       1,750       X     28-12020     1750     0           0
ISHARES INC                    MSCI BRIC INDX 464286608         22,661         913       X     28-12020      913     0           0
ISHARES INC                    MSCI SINGAPORE 464286665          2,312         367       X     28-12020      367     0           0
ISHARES INC                    MSCI TAIWAN    464286731          4,051         502       X     28-12020      502     0           0
ISHARES INC                    MSCI MEX
                               INVEST         464286822          3,388         124       X     28-12020      124     0           0
ISHARES INC                    MSCI JAPAN     464286848         45,354       5,741       X     28-12020     5741     0           0
ISHARES INC                    MSCI HONG KONG 464286871         10,170       1,000       X     28-12020     1000     0           0
ISHARES S&P GSCI COMMOD ITY I  UNIT BEN INT   46428R107      4,868,956     193,366       X     28-4635         0     0      193366
ISHARES S&P GSCI COMMOD ITY I  UNIT BEN INT   46428R107        185,501       7,367       X     28-12020     7367     0           0
ISHARES SILVER TRUST           ISHARES        46428Q109         79,298       6,200       X     28-12020     6200     0           0
ISHARES TR                     DJ SEL DIV INX 464287168         35,537       1,135       X     28-4635         0     0        1135
ISHARES TR                     DJ SEL DIV INX 464287168     32,107,591   1,025,474       X     28-12020   995634     0       29840
ISHARES TR                     BARCLYS TIPS
                               BD             464287176         82,200         800       X     28-4635         0     0         800
ISHARES TR                     BARCLYS TIPS
                               BD             464287176      8,503,385      82,758       X     28-12020    81151     0        1607
ISHARES TR                     FTSE XNHUA IDX 464287184        285,129       9,994       X     28-12020     9994     0           0
ISHARES TR                     S&P 500 INDEX  464287200      7,049,475      88,539       X     28-4635         0     0       88539
ISHARES TR                     S&P 500 INDEX  464287200    150,297,633   1,887,686       X     28-12020  1823706     0       63980
ISHARES TR                     BARCLYS US
                               AGG B          464287226     17,343,455     170,922       X     28-12020   161730     0        9192
ISHARES TR                     MSCI EMERG MKT 464287234     10,840,829     436,954       X     28-4635         0     0      436954
ISHARES TR                     MSCI EMERG MKT 464287234     63,143,483   2,545,088       X     28-12020  2473780     0       71308
ISHARES TR                     IBOXX INV CPBD 464287242         28,236         300       X     28-4635         0     0         300
ISHARES TR                     IBOXX INV CPBD 464287242     75,892,344     806,336       X     28-12020   772956     0       33380
ISHARES TR                     S&P GBL TELCM  464287275          2,411          55       X     28-4635         0     0          55
ISHARES TR                     S&P GBL TELCM  464287275      3,649,515      83,273       X     28-12020    80776     0        2497
ISHARES TR                     S&P500 GRW     464287309     17,771,384     424,542       X     28-12020   412534     0       12008
ISHARES TR                     S&P GBL HLTHCR 464287325         35,829         900       X     28-12020      900     0           0







                                                                                                                  FILE NO. 28-1235
PAGE 281 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                      ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
ISHARES TR                     S&P GBL ENER   464287341         26,501       1,000       X     28-12020      865     0         135
ISHARES TR                     S&P NA NAT RES 464287374          5,102         216       X     28-12020      216     0           0
ISHARES TR                     S&P LTN AM 40  464287390         17,179         670       X     28-12020      670     0           0
ISHARES TR                     S&P 500 VALUE  464287408        230,268       6,190       X     28-4635         0     0        6190
ISHARES TR                     S&P 500 VALUE  464287408     15,773,866     424,035       X     28-12020   415171     0        8864
ISHARES TR                     BARCLYS 20+ YR 464287432        235,205       2,225       X     28-12020     2225     0           0
ISHARES TR                     BARCLYS
                               7-10 YR        464287440        220,032       2,278       X     28-12020     2278     0           0
ISHARES TR                     BARCLYS 1-3 YR 464287457     10,447,079     123,898       X     28-12020   122876     0        1022
ISHARES TR                     MSCI EAFE IDX  464287465        749,206      19,931       X     28-4635         0     0       19931
ISHARES TR                     MSCI EAFE IDX  464287465    132,912,202   3,535,829       X     28-12020  3456150     0       79679
ISHARES TR                     RUSSELL MCP VL 464287473        103,033       4,302       X     28-4635         0     0        4302
ISHARES TR                     RUSSELL MCP VL 464287473      6,144,728     256,547       X     28-12020   234197     0       22350
ISHARES TR                     RUSSELL MCP GR 464287481      5,537,377     183,966       X     28-4635         0     0      183966
ISHARES TR                     RUSSELL MCP GR 464287481      3,822,821     127,004       X     28-12020   120666     0        6338
ISHARES TR                     RUSSELL MIDCAP 464287499        498,296       9,226       X     28-4635         0     0        9226
ISHARES TR                     RUSSELL MIDCAP 464287499     32,664,006     604,777       X     28-12020   592750     0       12027
ISHARES TR                     S&P MIDCAP 400 464287507        202,857       4,168       X     28-4635         0     0        4168
ISHARES TR                     S&P MIDCAP 400 464287507        528,943      10,864       X     28-12020    10864     0           0
ISHARES TR                     S&P NA TECH FD 464287549        305,725       8,740       X     28-12020     8740     0           0
ISHARES TR                     NASDQ BIO INDX 464287556         64,028         965       X     28-4635         0     0         965
ISHARES TR                     NASDQ BIO INDX 464287556     24,815,309     374,005       X     28-12020   361439     0       12566
ISHARES TR                     COHEN&ST RLTY  464287564         38,281       1,379       X     28-12020     1379     0           0
ISHARES TR                     RUSSELL1000VAL 464287598        112,063       2,750       X     28-4635         0     0        2750
ISHARES TR                     RUSSELL1000VAL 464287598      4,308,703     105,740       X     28-12020   103673     0        2067
ISHARES TR                     S&P MC 400 GRW 464287606      2,642,980      50,285       X     28-4635         0     0       50285
ISHARES TR                     S&P MC 400 GRW 464287606        367,447       6,991       X     28-12020     6991     0           0
ISHARES TR                     RUSSELL1000GRW 464287614      2,515,446      71,706       X     28-4635         0     0       71706
ISHARES TR                     RUSSELL1000GRW 464287614     15,751,434     449,009       X     28-12020   443304     0        5705
ISHARES TR                     RUSSELL 1000   464287622        134,724       3,115       X     28-4635         0     0        3115
ISHARES TR                     RUSSELL 1000   464287622     17,072,895     394,749       X     28-12020   390494     0        4255
ISHARES TR                     RUSL 2000 VALU 464287630        273,261       6,925       X     28-4635         0     0        6925
ISHARES TR                     RUSL 2000 VALU 464287630     25,913,698     656,708       X     28-12020   639081     0       17627
ISHARES TR                     RUSL 2000 GROW 464287648      1,330,845      28,944       X     28-4635         0     0       28944
ISHARES TR                     RUSL 2000 GROW 464287648     24,476,487     532,329       X     28-12020   529973     0        2356
ISHARES TR                     RUSSELL 2000   464287655        375,422       8,928       X     28-4635         0     0        8928
ISHARES TR                     RUSSELL 2000   464287655    157,237,005   3,739,279       X     28-12020  3653273     0       86006
ISHARES TR                     RUSSELL 3000   464287689      1,241,633      27,060       X     28-12020    27060     0           0
ISHARES TR                     DJ US UTILS    464287697         41,689         685       X     28-12020      685     0           0
ISHARES TR                     S&P MIDCP VALU 464287705        178,223       4,045       X     28-12020     4045     0           0
ISHARES TR                     DJ US TELECOMM 464287713         35,387       2,220       X     28-4635         0     0        2220
ISHARES TR                     DJ US TELECOMM 464287713      6,406,924     401,940       X     28-12020   391289     0       10651
ISHARES TR                     DJ US TECH SEC 464287721         28,143         760       X     28-12020      760     0           0
ISHARES TR                     DJ US REAL EST 464287739         73,554       2,889       X     28-12020     2889     0           0
ISHARES TR                     DJ US HEALTHCR 464287762        217,360       4,400       X     28-12020     4400     0           0
ISHARES TR                     DJ US FINL SEC 464287788        172,663       5,277       X     28-12020     5277     0           0
ISHARES TR                     DJ US ENERGY   464287796        278,740      11,000       X     28-12020    11000     0           0
ISHARES TR                     S&P SMLCAP 600 464287804      9,299,937     255,563       X     28-12020   254809     0         754
ISHARES TR                     S&P EURO PLUS  464287861         36,119       1,412       X     28-12020     1412     0           0
ISHARES TR                     S&P SMLCP VALU 464287879         67,120       1,725       X     28-12020     1725     0           0
ISHARES TR                     S&P SMLCP GROW 464287887        310,139       8,168       X     28-4635         0     0        8168
ISHARES TR                     S&P SMLCP GROW 464287887        128,149       3,375       X     28-12020     3375     0           0







                                                                                                                  FILE NO. 28-1235
PAGE 282 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                      ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
ISHARES TR                     S&P GLO INFRAS 464288356          4,896         200       X     28-12020      200     0           0
ISHARES TR                     HIGH YLD CORP  464288513         90,716       1,338       X     28-12020     1338     0           0
ISHARES TR                     KLD 400 IDX FD 464288570         40,055       1,350       X     28-12020     1350     0           0
ISHARES TR                     BARCLYS INTER
                               CR             464288588         47,073         500       X     28-4635         0     0         500
ISHARES TR                     BARCLYS 1-3YR
                               CR             464288588     24,020,769     241,036       X     28-12020   238164     0        2872
ISHARES TR                     US PFD STK IDX 464288687         14,814         650       X     28-12020      650     0           0
ISHARES TR                     KLD SL SOC INX 464288802         34,582       1,005       X     28-12020        0     0        1005
ISHARES TR                     DJ OIL&GAS EXP 464288851          5,650         165       X     28-12020      165     0           0
ISHARES TR                     MSCI VAL IDX   464288877      8,615,000     260,100       X     28-12020   260100     0           0
ISIS PHARMACEUTICALS IN C      COM            464330109        757,255      50,450       X     28-4635         0     0       50450
ISIS PHARMACEUTICALS IN C      COM            464330109        950,010      63,274       X     28-12020    62274     0        1000
ISTAR FINL INC                 COM            45031U101          6,000       2,204       X     28-12020     2204     0           0
ITC HLDGS CORP                 COM            465685105        536,526      12,300       X     28-4635         0     0       12300
ITC HLDGS CORP                 COM            465685105      1,237,117      28,358       X     28-12020    11258     0       17100
ITRON INC                      COM            465741106         49,623       1,048       X     28-4635         0     0        1048
ITRON INC                      COM            465741106        140,905       2,983       X     28-12020     2983     0           0
ITT CORP NEW                   COM            450911102        592,553      15,403       X     28-4635         0     0       15403
ITT CORP NEW                   COM            450911102        704,801      18,312       X     28-12020    17548     0         764
ITT EDUCATIONAL SERVICE S INC  COM            45068B109        364,260       3,000       X     28-4635         0     0        3000
ITT EDUCATIONAL SERVICE S INC  COM            45068B109        323,486       2,661       X     28-12020     2661     0           0
IXIA                           COM            45071R109              0          45       X     28-12020       45     0           0
J & J SNACK FOODS CORP         COM            466032109        111,008       3,200       X     28-4635         0     0        3200
J & J SNACK FOODS CORP         COM            466032109        253,000       7,327       X     28-12020     7327     0           0
J CREW GROUP INC               COM            46612H402          5,000         400       X     28-12020      400     0           0
J2 GLOBAL COMMUNICATION S INC  COM NEW        46626E205      3,598,935     164,410       X     28-4635         0     0      164410
J2 GLOBAL COMMUNICATION S INC  COM NEW        46626E205      6,069,756     277,292       X     28-12020   277292     0           0
JABIL CIRCUIT INC              COM            466313103         81,743      14,702       X     28-4635         0     0       14702
JABIL CIRCUIT INC              COM            466313103         82,348      14,813       X     28-12020    14013     0         800
JACK IN THE BOX INC            COM            466367109         23,290       1,000       X     28-4635         0     0        1000
JACK IN THE BOX INC            COM            466367109         13,000         548       X     28-12020      548     0           0
JACKSON HEWITT TAX SVCS INC    COM            468202106          5,000         946       X     28-12020      946     0           0
JACOBS ENGR GROUP INC D E L    COM            469814107        546,344      14,132       X     28-4635         0     0       14132
JACOBS ENGR GROUP INC D E L    COM            469814107     33,097,541     856,128       X     28-12020   836493     0       19635
JAKKS PAC INC                  COM            47012E106        610,090      49,400       X     28-4635         0     0       49400
JAKKS PAC INC                  COM            47012E106        709,000      57,390       X     28-12020    57390     0           0
JAMES RIVER COAL CO            COM NEW        470355207          4,000         322       X     28-12020      322     0           0
JANUS CAP GROUP INC            COM            47102X105         75,278      11,320       X     28-4635         0     0       11320
JANUS CAP GROUP INC            COM            47102X105         59,665       9,002       X     28-12020     9002     0           0
JARDEN CORP                    COM            471109108         10,000         775       X     28-12020      775     0           0
JDA SOFTWARE GROUP INC         COM            46612K108          5,775         500       X     28-4635         0     0         500
JDA SOFTWARE GROUP INC         COM            46612K108         20,240       1,711       X     28-12020      911     0         800
JDS UNIPHASE CORP              COM PAR $0.001 46612J507         48,747      14,999       X     28-4635         0     0       14999
JDS UNIPHASE CORP              COM PAR $0.001 46612J507         40,000      12,306       X     28-12020    12306     0           0
JEFFERIES GROUP INC NEW        COM            472319102         19,000       1,406       X     28-12020     1406     0           0
JETBLUE AIRWAYS CORP           COM            477143101          6,095       1,738       X     28-12020     1738     0           0
JEWETT CAMERON TRADING LTD     COM NEW        47733C207          2,400         500       X     28-12020      500     0           0
JO-ANN STORES INC              COM            47758P307         10,621         650       X     28-12020      650     0           0
JOHN BEAN TECHNOLOGIES CORP    COM            477839104         58,806       5,622       X     28-4635         0     0        5622
JOHN BEAN TECHNOLOGIES CORP    COM            477839104          5,795         515       X     28-12020      439     0          76
JOHN HANCOCK BK &THRIFT OPP    SH BEN INT NEW 409735206          3,225         300       X     28-12020      300     0           0
JOHNSON & JOHNSON              COM            478160104     31,183,857     592,849       X     28-4635         0     0      592849







                                                                                                                  FILE NO. 28-1235
PAGE 283 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                      ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
JOHNSON & JOHNSON              COM            478160104    101,445,449   1,928,618       X     28-12020  1773737     0      154881
JOHNSON CTLS INC               COM            478366107        386,220      32,185       X     28-4635         0     0       32185
JOHNSON CTLS INC               COM            478366107      9,126,808     760,529       X     28-12020   741349     0       19180
JONES APPAREL GROUP INC        COM            480074103          5,000       1,157       X     28-12020     1157     0           0
JONES LANG LASALLE INC         COM            48020Q107         14,000         621       X     28-12020      621     0           0
JOS A BANK CLOTHIERS IN C      COM            480838101        186,422       6,718       X     28-12020     6718     0           0
JOURNAL COMMUNICATIONS INC     CL A           481130102              0          81       X     28-12020       81     0           0
JOY GLOBAL INC                 COM            481165108         84,263       3,956       X     28-4635         0     0        3956
JOY GLOBAL INC                 COM            481165108     11,000,067     516,412       X     28-12020   504858     0       11554
JPMORGAN CHASE & CO            COM            46625H100     24,199,602     910,444       X     28-4635         0     0      910444
JPMORGAN CHASE & CO            COM            46625H100     97,973,633   3,685,992       X     28-12020  3563152     0      122840
JUNIPER NETWORKS INC           COM            48203R104        841,882      55,939       X     28-4635         0     0       55939
JUNIPER NETWORKS INC           COM            48203R104        439,215      29,145       X     28-12020    29145     0           0
K SEA TRANSN PARTNERS L P      COM            48268Y101        247,800      14,000       X     28-12020    14000     0           0
K TRON INTL INC                COM            482730108          9,000         150       X     28-12020      150     0           0
K V PHARMACEUTICAL CO          CL A           482740206          1,000         908       X     28-12020      908     0           0
K12 INC                        COM            48273U102         67,415       4,850       X     28-4635         0     0        4850
KADANT INC                     COM            48282T104         79,488       6,900       X     28-4635         0     0        6900
KADANT INC                     COM            48282T104        198,283      17,194       X     28-12020    17194     0           0
KAISER ALUMINUM CORP           COM PAR $0.01  483007704         11,560         500       X     28-4635         0     0         500
KAISER ALUMINUM CORP           COM PAR $0.01  483007704          7,624         314       X     28-12020      314     0           0
KAMAN CORP                     COM            483548103          2,000         129       X     28-12020      129     0           0
KANSAS CITY LIFE INS CO        COM            484836101          8,000         219       X     28-12020      219     0           0
KANSAS CITY SOUTHERN           COM NEW        485170302         31,430       2,490       X     28-12020     2490     0           0
KAPSTONE PAPER & PACKAG ING C  COM            48562P103          2,952       1,200       X     28-12020     1200     0           0
KAYDON CORP                    COM            486587108         32,864       1,186       X     28-12020      386     0         800
KAYNE ANDERSON ENRGY TT L RT   COM            48660P104         20,188       1,400       X     28-12020     1400     0           0
KAYNE ANDERSON MLP INVS MNT C  COM            486606106         16,083         809       X     28-12020      809     0           0
KB FINANCIAL GROUP INC         SPONSORED ADR  48241A105         33,950       1,400       X     28-4635         0     0        1400
KB FINANCIAL GROUP INC         SPONSORED ADR  48241A105          3,928         162       X     28-12020      162     0           0
KB HOME                        COM            48666K109        121,282       9,202       X     28-4635         0     0        9202
KB HOME                        COM            48666K109         55,674       4,240       X     28-12020     4240     0           0
KBR INC                        COM            48242W106        181,767      13,162       X     28-4635         0     0       13162
KBR INC                        COM            48242W106     27,492,711   1,990,784       X     28-12020  1911398     0       79386
KBW INC                        COM            482423100          2,000         100       X     28-12020      100     0           0
KELLOGG CO                     COM            487836108      9,316,328     254,336       X     28-4635         0     0      254336
KELLOGG CO                     COM            487836108      8,876,910     242,343       X     28-12020   242237     0         106
KELLY SVCS INC                 CL A           488152208         44,895       5,626       X     28-12020     5626     0           0
KELLY SVCS INC                 CL B           488152307          8,340         858       X     28-12020      858     0           0
KENDLE INTERNATIONAL IN C      COM            48880L107        219,600      10,462       X     28-12020      462     0       10000
KENEXA CORP                    COM            488879107          1,935         359       X     28-12020      359     0           0
KENNAMETAL INC                 COM            489170100        150,753       9,300       X     28-4635         0     0        9300
KENNAMETAL INC                 COM            489170100        424,350      26,171       X     28-12020    26171     0           0
KEY ENERGY SVCS INC            COM            492914106          3,720       1,130       X     28-12020     1130     0           0
KEY TECHNOLOGY INC             COM            493143101          8,360         950       X     28-12020      950     0           0
KEYCORP NEW                    COM            493267108        170,732      21,694       X     28-4635         0     0       21694
KEYCORP NEW                    COM            493267108      2,055,884     261,225       X     28-12020   253903     0        7322
KFORCE INC                     COM            493732101          8,000       1,184       X     28-12020     1184     0           0
KILROY RLTY CORP               COM            49427F108         15,162         882       X     28-4635         0     0         882
KILROY RLTY CORP               COM            49427F108         24,331       1,409       X     28-12020     1409     0           0
KIMBALL INTL INC               CL B           494274103         22,144       3,338       X     28-12020     3338     0           0







                                                                                                                  FILE NO. 28-1235
PAGE 284 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                      ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
KIMBERLY CLARK CORP            COM            494368103      1,109,130      24,054       X     28-4635         0     0       24054
KIMBERLY CLARK CORP            COM            494368103     12,193,224     264,436       X     28-12020   255544     0        8892
KIMCO REALTY CORP              COM            49446R109         77,968      10,232       X     28-4635         0     0       10232
KIMCO REALTY CORP              COM            49446R109        172,200      22,629       X     28-12020    21129     0        1500
KINDER MORGAN ENERGY PA RTNER  UT LTD PARTNER 494550106      1,714,604      36,697       X     28-12020    34597     0        2100
KINDRED HEALTHCARE INC         COM            494580103          8,000         567       X     28-12020      567     0           0
KINETIC CONCEPTS INC           COM NEW        49460W208        233,112      11,016       X     28-12020    11016     0           0
KING PHARMACEUTICALS IN C      COM            495582108        418,198      59,151       X     28-4635         0     0       59151
KING PHARMACEUTICALS IN C      COM            495582108        194,962      27,625       X     28-12020    27625     0           0
KIRBY CORP                     COM            497266106         46,860       1,759       X     28-4635         0     0        1759
KIRBY CORP                     COM            497266106         26,000         982       X     28-12020      982     0           0
KLA-TENCOR CORP                COM            482480100        482,740      24,137       X     28-4635         0     0       24137
KLA-TENCOR CORP                COM            482480100      1,898,000      94,906       X     28-12020    94906     0           0
KNIGHT CAPITAL GROUP IN C      CL A           499005106        300,328      20,375       X     28-4635         0     0       20375
KNIGHT CAPITAL GROUP IN C      CL A           499005106      1,814,000     123,064       X     28-12020   123064     0           0
KNIGHT TRANSN INC              COM            499064103        315,007      20,777       X     28-12020    20777     0           0
KNIGHTSBRIDGE TANKERS L T D    ORD            G5299G106          9,000         645       X     28-12020      645     0           0
KNOLL INC                      COM NEW        498904200          6,130       1,000       X     28-4635         0     0        1000
KNOLL INC                      COM NEW        498904200         70,291      11,506       X     28-12020    11506     0           0
KOHLS CORP                     COM            500255104      1,102,351      26,048       X     28-4635         0     0       26048
KOHLS CORP                     COM            500255104      2,927,863      69,195       X     28-12020    65245     0        3950
KONINKLIJKE PHILIPS ELE CTRS   NY REG SH NEW  500472303         11,658         784       X     28-12020      784     0           0
KOPPERS HOLDINGS INC           COM            50060P106        298,400      20,518       X     28-12020    20518     0           0
KORN FERRY INTL                COM NEW        500643200         74,292       8,200       X     28-4635         0     0        8200
KORN FERRY INTL                COM NEW        500643200        198,000      21,812       X     28-12020    21812     0           0
KRAFT FOODS INC                CL A           50075N104     10,889,668     488,545       X     28-4635         0     0      488545
KRAFT FOODS INC                CL A           50075N104     18,094,129     811,777       X     28-12020   713441     0       98336
KROGER CO                      COM            501044101        847,655      39,946       X     28-4635         0     0       39946
KROGER CO                      COM            501044101     37,298,931   1,757,739       X     28-12020  1705617     0       52122
KULICKE & SOFFA INDS IN C      COM            501242101              0         109       X     28-12020      109     0           0
KVH INDS INC                   COM            482738101         15,968       3,200       X     28-4635         0     0        3200
L-3 COMMUNICATIONS HLDG S INC  COM            502424104        762,614      11,248       X     28-4635         0     0       11248
L-3 COMMUNICATIONS HLDG S INC  COM            502424104      1,867,504      27,537       X     28-12020    26937     0         600
LABOPHARM INC                  COM            504905100         26,200      20,000       X     28-12020        0     0       20000
LABORATORY CORP AMER HL DGS    COM NEW        50540R409        731,593      12,508       X     28-4635         0     0       12508
LABORATORY CORP AMER HL DGS    COM NEW        50540R409     11,564,769     197,723       X     28-12020   195238     0        2485
LABRANCHE & CO INC             COM            505447102              0          16       X     28-12020       16     0           0
LACLEDE GROUP INC              COM            505597104        638,297      16,375       X     28-4635         0     0       16375
LACLEDE GROUP INC              COM            505597104      1,054,077      27,035       X     28-12020    27035     0           0
LAKELAND BANCORP INC           COM            511637100          4,818         600       X     28-4635         0     0         600
LAM RESEARCH CORP              COM            512807108        183,663       8,066       X     28-4635         0     0        8066
LAM RESEARCH CORP              COM            512807108        329,000      14,432       X     28-12020    14432     0           0
LAMAR ADVERTISING CO           CL A           512815101         22,172       2,274       X     28-4635         0     0        2274
LAMAR ADVERTISING CO           CL A           512815101         11,000       1,115       X     28-12020     1115     0           0
LAN AIRLINES S A               SPONSORED ADR  501723100          2,508         300       X     28-12020      300     0           0
LANCASTER COLONY CORP          COM            513847103          4,000          95       X     28-12020       95     0           0
LANCE INC                      COM            514606102          7,246         336       X     28-12020      336     0           0
LANDAUER INC                   COM            51476K103        719,656      14,200       X     28-4635         0     0       14200
LANDAUER INC                   COM            51476K103        299,272       5,900       X     28-12020     5700     0         200
LANDEC CORP                    COM            514766104         22,280       4,000       X     28-12020        0     0        4000
LANDRYS RESTAURANTS INC        COM            51508L103          3,000         486       X     28-12020      486     0           0







                                                                                                                  FILE NO. 28-1235
PAGE 285 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                      ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
LANDSTAR SYS INC               COM            515098101         77,717       2,322       X     28-4635         0     0        2322
LANDSTAR SYS INC               COM            515098101         48,735       1,454       X     28-12020     1454     0           0
LAS VEGAS SANDS CORP           COM            517834107         11,480       3,814       X     28-4635         0     0        3814
LAS VEGAS SANDS CORP           COM            517834107        162,500      54,044       X     28-12020    54044     0           0
LASALLE HOTEL PPTYS            COM SH BEN INT 517942108          4,000         770       X     28-12020      770     0           0
LAUDER ESTEE COS INC           CL A           518439104        233,731       9,482       X     28-4635         0     0        9482
LAUDER ESTEE COS INC           CL A           518439104        531,667      21,571       X     28-12020    21471     0         100
LAWSON SOFTWARE INC NEW        COM            52078P102          4,000         967       X     28-12020      967     0           0
LAYNE CHRISTENSEN CO           COM            521050104        138,595       8,650       X     28-12020     8650     0           0
LAZARD GLB TTL RET&INCM FD I   COM            52106W103          2,494         259       X     28-12020      259     0           0
LAZARD LTD                     SHS A          G54050102      2,550,215      86,742       X     28-4635         0     0       86742
LAZARD LTD                     SHS A          G54050102      4,120,000     140,124       X     28-12020   140124     0           0
LDK SOLAR CO LTD               SPONSORED ADR  50183L107          3,170         500       X     28-12020      500     0           0
LEAP WIRELESS INTL INC         COM NEW        521863308         33,754         968       X     28-4635         0     0         968
LEAP WIRELESS INTL INC         COM NEW        521863308         27,000         765       X     28-12020      765     0           0
LEAR CORP                      COM            521865105          1,000       1,572       X     28-12020     1572     0           0
LECG CORP                      COM            523234102            762         311       X     28-12020      311     0           0
LEE ENTERPRISES INC            COM            523768109            280       1,196       X     28-12020     1196     0           0
LEGG MASON INC                 COM            524901105        187,222      11,775       X     28-4635         0     0       11775
LEGG MASON INC                 COM            524901105        862,490      54,236       X     28-12020    53781     0         455
LEGGETT & PLATT INC            COM            524660107         88,982       6,850       X     28-4635         0     0        6850
LEGGETT & PLATT INC            COM            524660107        117,000       9,025       X     28-12020     9025     0           0
LENDER PROCESSING SVCS INC     COM            52602E102         38,079       1,244       X     28-4635         0     0        1244
LENDER PROCESSING SVCS INC     COM            52602E102         77,252       2,525       X     28-12020     2525     0           0
LENNAR CORP                    CL A           526057104         46,502       6,192       X     28-4635         0     0        6192
LENNAR CORP                    CL A           526057104         80,217      10,677       X     28-12020    10225     0         452
LENNAR CORP                    CL B           526057302          1,092         192       X     28-12020      148     0          44
LENNOX INTL INC                COM            526107107        953,883      36,050       X     28-4635         0     0       36050
LENNOX INTL INC                COM            526107107      1,034,000      39,069       X     28-12020    39069     0           0
LEUCADIA NATL CORP             COM            527288104        118,331       7,947       X     28-4635         0     0        7947
LEUCADIA NATL CORP             COM            527288104        292,275      19,637       X     28-12020    19637     0           0
LEVEL 3 COMMUNICATIONS INC     COM            52729N100         45,201      49,131       X     28-4635         0     0       49131
LEVEL 3 COMMUNICATIONS INC     COM            52729N100         26,549      28,623       X     28-12020    26939     0        1684
LEXICON PHARMACEUTICALS INC    COM            528872104            164         150       X     28-12020      150     0           0
LEXINGTON REALTY TRUST         COM            529043101          3,081       1,393       X     28-12020     1393     0           0
LEXMARK INTL NEW               CL A           529771107         76,202       4,517       X     28-4635         0     0        4517
LEXMARK INTL NEW               CL A           529771107         90,271       5,330       X     28-12020     5330     0           0
LIBBEY INC                     COM            529898108            184         200       X     28-12020      200     0           0
LIBERTY GLOBAL INC             COM SER A      530555101         66,437       4,563       X     28-4635         0     0        4563
LIBERTY GLOBAL INC             COM SER A      530555101         98,407       6,790       X     28-12020     6790     0           0
LIBERTY GLOBAL INC             COM SER C      530555309          7,065         500       X     28-12020      500     0           0
LIBERTY MEDIA CORP NEW         INT COM SER A  53071M104         31,614      10,855       X     28-12020    10164     0         691
LIBERTY MEDIA CORP NEW         CAP COM SER A  53071M302         20,724       2,937       X     28-12020     2799     0         138
LIBERTY MEDIA CORP NEW         ENT COM SER A  53071M500        262,761      13,171       X     28-4635         0     0       13171
LIBERTY MEDIA CORP NEW         ENT COM SER A  53071M500        168,710       8,440       X     28-12020     7888     0         552
LIBERTY PPTY TR                SH BEN INT     531172104         51,096       2,672       X     28-12020     2672     0           0
LIFE PARTNERS HOLDINGS INC     COM            53215T106        413,705      24,250       X     28-4635         0     0       24250
LIFE PARTNERS HOLDINGS INC     COM            53215T106        210,000      12,288       X     28-12020    12288     0           0
LIFE TECHNOLOGIES CORP         COM            53217V109        319,506       9,837       X     28-4635         0     0        9837
LIFE TECHNOLOGIES CORP         COM            53217V109        529,087      16,286       X     28-12020    15302     0         984
LIFE TIME FITNESS INC          COM            53217R207         20,824       1,627       X     28-12020      629     0         998







                                                                                                                  FILE NO. 28-1235
PAGE 286 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                      ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
LIFEPOINT HOSPITALS INC        COM            53219L109        916,797      43,950       X     28-4635        0     0       43950
LIFEPOINT HOSPITALS INC        COM            53219L109      2,056,948      98,620       X     28-12020   98620     0           0
LIGAND PHARMACEUTICALS INC     CL B           53220K207         14,980       5,105       X     28-12020    4105     0        1000
LIHIR GOLD LTD                 SPONSORED ADR  532349107        295,230      13,000       X     28-4635        0     0       13000
LIHIR GOLD LTD                 SPONSORED ADR  532349107        531,000      23,400       X     28-12020   23400     0           0
LILLY ELI & CO                 COM            532457108      1,872,731      56,053       X     28-4635        0     0       56053
LILLY ELI & CO                 COM            532457108     87,658,790   2,623,729       X     28-12020 2612661     0       11068
LIMELIGHT NETWORKS INC         COM            53261M104          5,000       1,421       X     28-12020    1421     0           0
LIMITED BRANDS INC             COM            532716107        194,541      22,361       X     28-4635        0     0       22361
LIMITED BRANDS INC             COM            532716107        168,747      19,344       X     28-12020   19344     0           0
LIN TV CORP                    CL A           532774106          1,000         887       X     28-12020     887     0           0
LINCARE HLDGS INC              COM            532791100      1,043,152      47,851       X     28-4635        0     0       47851
LINCARE HLDGS INC              COM            532791100        401,000      18,386       X     28-12020   18386     0           0
LINCOLN ELEC HLDGS INC         COM            533900106      1,884,002      59,451       X     28-4635        0     0       59451
LINCOLN ELEC HLDGS INC         COM            533900106      6,043,504     190,720       X     28-12020  190720     0           0
LINCOLN NATL CORP IND          COM            534187109         74,466      11,131       X     28-4635        0     0       11131
LINCOLN NATL CORP IND          COM            534187109      1,672,341     249,974       X     28-12020  248899     0        1075
LINDSAY CORP                   COM            535555106          8,000         290       X     28-12020     290     0           0
LINEAR TECHNOLOGY CORP         COM            535678106        414,513      18,038       X     28-4635        0     0       18038
LINEAR TECHNOLOGY CORP         COM            535678106        407,241      17,739       X     28-12020   17739     0           0
LINN ENERGY LLC                UNIT LTD LIAB  536020100         52,150       3,500       X     28-4635        0     0        3500
LINN ENERGY LLC                UNIT LTD LIAB  536020100         35,760       2,400       X     28-12020    1400     0        1000
LIQUIDITY SERVICES INC         COM            53635B107          3,000         488       X     28-12020     488     0           0
LITTELFUSE INC                 COM            537008104          6,000         515       X     28-12020     515     0           0
LIVE NATION INC                COM            538034109          1,937         733       X     28-12020     733     0           0
LIZ CLAIBORNE INC              COM            539320101          5,458       2,220       X     28-12020    1620     0         600
LKQ CORP                       COM            501889208         24,000       1,663       X     28-12020    1663     0           0
LLOYDS BANKING GROUP PL C      SPONSORED ADR  539439109          4,175       1,036       X     28-12020    1036     0           0
LMI AEROSPACE INC              COM            502079106          2,339         323       X     28-12020     323     0           0
LOCKHEED MARTIN CORP           COM            539830109      5,952,319      86,228       X     28-4635        0     0       86228
LOCKHEED MARTIN CORP           COM            539830109     27,888,524     404,003       X     28-12020  390088     0       13915
LOEWS CORP                     COM            540424108      7,080,729     320,395       X     28-4635        0     0      320395
LOEWS CORP                     COM            540424108      4,967,219     224,742       X     28-12020  224742     0           0
LOGITECH INTL S A              SHS            H50430232         64,764       6,300       X     28-4635        0     0        6300
LOGITECH INTL S A              SHS            H50430232         56,540       5,500       X     28-12020    5500     0           0
LOOPNET INC                    COM            543524300          1,520         305       X     28-12020     305     0           0
LORAL SPACE & COMMUNICA TNS I  COM            543881106          1,000          30       X     28-12020      30     0           0
LORILLARD INC                  COM            544147101     11,133,266     180,325       X     28-4635        0     0      180325
LORILLARD INC                  COM            544147101      9,530,043     154,355       X     28-12020  154355     0           0
LOWES COS INC                  COM            548661107     10,228,213     560,450       X     28-4635        0     0      560450
LOWES COS INC                  COM            548661107     10,434,566     571,804       X     28-12020  568378     0        3426
LSB INDS INC                   COM            502160104          6,465         699       X     28-12020     699     0           0
LSI CORPORATION                COM            502161102        140,019      46,059       X     28-4635        0     0       46059
LSI CORPORATION                COM            502161102        129,208      42,340       X     28-12020   36792     0        5548
LSI INDS INC                   COM            50216C108        161,100      31,179       X     28-12020   31179     0           0
LTC PPTYS INC                  COM            502175102        188,555      10,750       X     28-4635        0     0       10750
LTC PPTYS INC                  COM            502175102      1,254,000      71,467       X     28-12020   71467     0           0
LUBRIZOL CORP                  COM            549271104        906,026      26,640       X     28-4635        0     0       26640
LUBRIZOL CORP                  COM            549271104      3,809,489     112,004       X     28-12020  111396     0         608
LUFKIN INDS INC                COM            549764108         13,000         354       X     28-12020     354     0           0
LULULEMON ATHLETICA INC        COM            550021109            866         100       X     28-12020     100     0           0







                                                                                                                  FILE NO. 28-1235
PAGE 287 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                      ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
LUMINEX CORP DEL               COM            55027E102          4,000         196       X     28-12020      196     0           0
LUXOTTICA GROUP S P A          SPONSORED ADR  55068R202        110,880       7,200       X     28-4635         0     0        7200
M & F WORLDWIDE CORP           COM            552541104          2,141         212       X     28-12020      212     0           0
M & T BK CORP                  COM            55261F104        161,959       3,580       X     28-4635         0     0        3580
M & T BK CORP                  COM            55261F104        192,841       4,265       X     28-12020     4158     0         107
M D C HLDGS INC                COM            552676108         15,000         468       X     28-12020      468     0           0
M/I HOMES INC                  COM            55305B101          2,000         285       X     28-12020      285     0           0
MACATAWA BK CORP               COM            554225102         27,010       7,300       X     28-12020     7300     0           0
MACERICH CO                    COM            554382101         12,345       1,972       X     28-4635         0     0        1972
MACERICH CO                    COM            554382101          7,000       1,093       X     28-12020     1093     0           0
MACK CALI RLTY CORP            COM            554489104          7,924         400       X     28-4635         0     0         400
MACK CALI RLTY CORP            COM            554489104         15,000         770       X     28-12020      770     0           0
MACQUARIE FT TR GB INF UT DI   COM            55607W100          6,661         864       X     28-12020      864     0           0
MACQUARIE GLBL INFRA TO TL RE  COM            55608D101          4,785         509       X     28-12020      509     0           0
MACROVISION SOLUTIONS C ORP    COM            55611C108         58,000       3,255       X     28-12020     3255     0           0
MACYS INC                      COM            55616P104        171,272      19,244       X     28-4635         0     0       19244
MACYS INC                      COM            55616P104        635,539      71,447       X     28-12020    56458     0       14989
MADDEN STEVEN LTD              COM            556269108         48,828       2,600       X     28-4635         0     0        2600
MAGELLAN HEALTH SVCS IN C      COM NEW        559079207         15,000         404       X     28-12020      404     0           0
MAGELLAN MIDSTREAM HLDG S LP   COM LP INTS    55907R108         88,375       5,050       X     28-12020     5050     0           0
MAGELLAN MIDSTREAM PRTN RS LP  COM UNIT RP LP 559080106        294,434      10,025       X     28-12020    10025     0           0
MAGUIRE PPTYS INC              COM            559775101          1,000         904       X     28-12020      904     0           0
MAIDENFORM BRANDS INC          COM            560305104          8,000         889       X     28-12020      889     0           0
MAINSOURCE FINANCIAL GP INC    COM            56062Y102          6,000         692       X     28-12020      692     0           0
MAKITA CORP                    ADR NEW        560877300        207,180       9,000       X     28-4635         0     0        9000
MANAGED HIGH YIELD PLUS FD I   COM            561911108          8,759       8,342       X     28-12020     8342     0           0
MANHATTAN ASSOCS INC           COM            562750109        112,580       6,500       X     28-4635         0     0        6500
MANHATTAN ASSOCS INC           COM            562750109          2,000         106       X     28-12020      106     0           0
MANITOWOC INC                  COM            563571108         29,616       9,057       X     28-4635         0     0        9057
MANITOWOC INC                  COM            563571108         45,255      13,819       X     28-12020    13819     0           0
MANNKIND CORP                  COM            56400P201         10,000       2,746       X     28-12020     2746     0           0
MANPOWER INC                   COM            56418H100         79,298       2,515       X     28-4635         0     0        2515
MANPOWER INC                   COM            56418H100         59,918       1,903       X     28-12020     1903     0           0
MANTECH INTL CORP              CL A           564563104        368,720       8,800       X     28-4635         0     0        8800
MANTECH INTL CORP              CL A           564563104      1,440,657      34,378       X     28-12020    34378     0           0
MANULIFE FINL CORP             COM            56501R106        407,131      36,351       X     28-12020    34485     0        1866
MARATHON OIL CORP              COM            565849106      1,413,272      53,757       X     28-4635         0     0       53757
MARATHON OIL CORP              COM            565849106     51,937,343   1,975,551       X     28-12020  1915846     0       59705
MARCHEX INC                    CL B           56624R108              0          20       X     28-12020       20     0           0
MARCUS CORP                    COM            566330106              0          23       X     28-12020       23     0           0
MARINE PRODS CORP              COM            568427108          4,000         976       X     28-12020      976     0           0
MARINER ENERGY INC             COM            56845T305         50,000       6,402       X     28-12020     6402     0           0
MARKEL CORP                    COM            570535104         46,000         163       X     28-12020      163     0           0
MARKET VECTORS ETF TR          GOLD MINER ETF 57060U100         99,392       2,695       X     28-12020     2695     0           0
MARKET VECTORS ETF TR          AGRIBUS ETF    57060U605          5,662         200       X     28-12020      200     0           0
MARKETAXESS HLDGS INC          COM            57060D108          1,000          68       X     28-12020       68     0           0
MARRIOTT INTL INC NEW          CL A           571903202        361,131      22,074       X     28-4635         0     0       22074
MARRIOTT INTL INC NEW          CL A           571903202        320,059      19,533       X     28-12020    19533     0           0
MARSH & MCLENNAN COS IN C      COM            571748102      4,775,092     235,807       X     28-4635         0     0      235807
MARSH & MCLENNAN COS IN C      COM            571748102     14,829,474     732,301       X     28-12020   722791     0        9510
MARSH & MCLENNAN COS IN C      COM            571748102        360,000       3,000       X     28-12020     3000     0           0







                                                                                                                  FILE NO. 28-1235
PAGE 288 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                      ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
MARSHALL & ILSLEY CORP NEW     COM            571837103         65,522      11,638       X     28-4635         0     0       11638
MARSHALL & ILSLEY CORP NEW     COM            571837103         99,167      17,670       X     28-12020    17670     0           0
MARTEK BIOSCIENCES CORP        COM            572901106        110,000       6,046       X     28-12020     6046     0           0
MARTHA STEWART LIVING O MNIME  CL A           573083102            747         300       X     28-12020      300     0           0
MARTIN MARIETTA MATLS I N C    COM            573284106         92,781       1,170       X     28-4635         0     0        1170
MARTIN MARIETTA MATLS I N C    COM            573284106        120,995       1,524       X     28-12020     1524     0           0
MARVEL ENTERTAINMENT IN C      COM            57383T103        653,130      24,600       X     28-4635         0     0       24600
MARVEL ENTERTAINMENT IN C      COM            57383T103        362,000      13,651       X     28-12020    13651     0           0
MARVELL TECHNOLOGY GROU P LTD  ORD            G5876H105        135,788      14,824       X     28-4635         0     0       14824
MARVELL TECHNOLOGY GROU P LTD  ORD            G5876H105      1,348,135     147,140       X     28-12020   146140     0        1000
MASCO CORP                     COM            574599106        114,158      16,355       X     28-4635         0     0       16355
MASCO CORP                     COM            574599106        434,767      62,252       X     28-12020    61652     0         600
MASIMO CORP                    COM            574795100        193,442       6,675       X     28-4635         0     0        6675
MASIMO CORP                    COM            574795100        567,547      19,570       X     28-12020    19570     0           0
MASSACHUSETTS HEALTH & ED TX   SH BEN INT     575672100         11,231       1,100       X     28-12020     1100     0           0
MASSEY ENERGY CORP             COM            576206106         60,548       5,983       X     28-4635         0     0        5983
MASSEY ENERGY CORP             COM            576206106         68,240       6,777       X     28-12020     6777     0           0
MASSMUTUAL PARTN INVS          SH BEN INT     576299101          6,800         800       X     28-12020      800     0           0
MASTEC INC                     COM            576323109        193,138      15,975       X     28-4635         0     0       15975
MASTEC INC                     COM            576323109      1,389,000     114,900       X     28-12020   114900     0           0
MASTERCARD INC                 CL A           57636Q104        933,701       5,575       X     28-4635         0     0        5575
MASTERCARD INC                 CL A           57636Q104        782,843       4,674       X     28-12020     4674     0           0
MATRIX SVC CO                  COM            576853105        435,249      52,950       X     28-4635         0     0       52950
MATRIX SVC CO                  COM            576853105        190,000      23,111       X     28-12020    23111     0           0
MATRIXX INITIATIVES INC        COM            57685L105          9,840         600       X     28-4635         0     0         600
MATRIXX INITIATIVES INC        COM            57685L105        846,000      51,555       X     28-12020    51555     0           0
MATTEL INC                     COM            577081102        181,252      15,720       X     28-4635         0     0       15720
MATTEL INC                     COM            577081102        301,924      26,214       X     28-12020    23534     0        2680
MATTHEWS INTL CORP             CL A           577128101        550,271      19,100       X     28-4635         0     0       19100
MATTHEWS INTL CORP             CL A           577128101        550,479      19,113       X     28-12020    19113     0           0
MATTSON TECHNOLOGY INC         COM            577223100              0          99       X     28-12020       99     0           0
MAX CAPITAL GROUP LTD          SHS            G6052F103         30,620       1,779       X     28-12020     1779     0           0
MAXIM INTEGRATED PRODS INC     COM            57772K101      2,826,926     214,017       X     28-12020   214017     0           0
MAXIMUS INC                    COM            577933104         20,000         499       X     28-12020      499     0           0
MAXWELL TECHNOLOGIES IN C      COM            577767106         27,800       4,000       X     28-12020     4000     0           0
MAXXAM INC                     COM            577913106              7           1       X     28-12020        1     0           0
MAXYGEN INC                    COM            577776107        135,800      19,993       X     28-12020     8993     0       11000
MB FINANCIAL INC NEW           COM            55264U108         20,837       1,531       X     28-12020     1531     0           0
MBIA INC                       COM            55262C100         34,391       7,509       X     28-4635         0     0        7509
MBIA INC                       COM            55262C100         53,108      11,659       X     28-12020    11659     0           0
MBT FINL CORP                  COM            578877102            416         225       X     28-12020      225     0           0
MCAFEE INC                     COM            579064106      5,818,582     173,689       X     28-4635         0     0      173689
MCAFEE INC                     COM            579064106      5,403,050     161,272       X     28-12020   161272     0           0
MCCLATCHY CO                   CL A           579489105              0         466       X     28-12020      466     0           0
MCCORMICK & CO INC             COM NON VTG    579780206        247,294       8,363       X     28-4635         0     0        8363
MCCORMICK & CO INC             COM NON VTG    579780206        321,890      10,873       X     28-12020     9453     0        1420
MCDERMOTT INTL INC             COM            580037109         71,141       5,313       X     28-4635         0     0        5313
MCDERMOTT INTL INC             COM            580037109         56,051       4,207       X     28-12020     4207     0           0
MCDONALDS CORP                 COM            580135101     19,384,738     355,227       X     28-4635         0     0      355227
MCDONALDS CORP                 COM            580135101     80,585,726   1,476,732       X     28-12020  1424561     0       52171
MCG CAPITAL CORP               COM            58047P107          1,000         841       X     28-12020      841     0           0







                                                                                                                  FILE NO. 28-1235
PAGE 289 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                      ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
MCGRATH RENTCORP               COM            580589109          4,728         300       X     28-4635         0     0         300
MCGRATH RENTCORP               COM            580589109        385,000      24,400       X     28-12020    24400     0           0
MCGRAW HILL COS INC            COM            580645109        441,986      19,326       X     28-4635         0     0       19326
MCGRAW HILL COS INC            COM            580645109      8,143,649     356,068       X     28-12020   325968     0       30100
MCKESSON CORP                  COM            58155Q103        923,900      26,367       X     28-4635         0     0       26367
MCKESSON CORP                  COM            58155Q103        657,885      18,767       X     28-12020    17605     0        1162
MCMORAN EXPLORATION CO         COM            582411104          3,760         800       X     28-4635         0     0         800
MCMORAN EXPLORATION CO         COM            582411104          4,061         830       X     28-12020      830     0           0
MDU RES GROUP INC              COM            552690109          8,070         500       X     28-4635         0     0         500
MDU RES GROUP INC              COM            552690109      4,497,515     278,669       X     28-12020   265169     0       13500
MEADOWBROOK INS GROUP I N C    COM            58319P108         53,055       8,749       X     28-12020     8749     0           0
MEADWESTVACO CORP              COM            583334107         89,505       7,465       X     28-4635         0     0        7465
MEADWESTVACO CORP              COM            583334107        215,625      18,023       X     28-12020    18023     0           0
MEDAREX INC                    COM            583916101          4,000         860       X     28-12020      860     0           0
MEDCO HEALTH SOLUTIONS INC     COM            58405U102      1,699,281      41,105       X     28-4635         0     0       41105
MEDCO HEALTH SOLUTIONS INC     COM            58405U102     55,530,900   1,343,268       X     28-12020  1296431     0       46837
MEDIA GEN INC                  CL A           584404107          1,920       1,052       X     28-12020     1052     0           0
MEDICAL PPTYS TRUST INC        COM            58463J304          4,000       1,215       X     28-12020     1215     0           0
MEDICINES CO                   COM            584688105        121,408      11,200       X     28-4635         0     0       11200
MEDICINES CO                   COM            584688105          4,000         362       X     28-12020      362     0           0
MEDICIS PHARMACEUTICAL CORP    CL A NEW       584690309         78,550       6,350       X     28-4635         0     0        6350
MEDICIS PHARMACEUTICAL CORP    CL A NEW       584690309         13,940       1,112       X     28-12020     1112     0           0
MEDIS TECHNOLOGIES LTD         COM            58500P107          1,000       2,612       X     28-12020     2612     0           0
MEDNAX INC                     COM            58502B106        170,867       5,798       X     28-4635         0     0        5798
MEDNAX INC                     COM            58502B106         23,768         807       X     28-12020      747     0          60
MEDTRONIC INC                  COM            585055106      2,601,965      88,292       X     28-4635         0     0       88292
MEDTRONIC INC                  COM            585055106     13,130,952     445,542       X     28-12020   439511     0        6031
MELLANOX TECHNOLOGIES L T D    SHS            M51363113         13,745       1,650       X     28-4635         0     0        1650
MELLANOX TECHNOLOGIES L T D    SHS            M51363113        990,000     118,900       X     28-12020   118900     0           0
MEMC ELECTR MATLS INC          COM            552715104        297,760      18,057       X     28-4635         0     0       18057
MEMC ELECTR MATLS INC          COM            552715104        211,091      12,778       X     28-12020    12778     0           0
MENS WEARHOUSE INC             COM            587118100          8,000         534       X     28-12020      534     0           0
MENTOR GRAPHICS CORP           COM            587200106          1,000         308       X     28-12020      308     0           0
MERCADOLIBRE INC               COM            58733R102         11,000         576       X     28-12020      576     0           0
MERCANTILE BANCORP INC ILL     COM            58734P105         24,638       3,375       X     28-12020     3375     0           0
MERCHANTS BANCSHARES           COM            588448100          5,550         300       X     28-12020      300     0           0
MERCK & CO INC                 COM            589331107     11,720,995     438,168       X     28-4635         0     0      438168
MERCK & CO INC                 COM            589331107     51,413,134   1,921,974       X     28-12020  1802538     0      119436
MERCURY COMPUTER SYS           COM            589378108          7,000       1,211       X     28-12020     1211     0           0
MERCURY GENL CORP NEW          COM            589400100          9,564         338       X     28-12020      338     0           0
MEREDITH CORP                  COM            589433101        174,570      10,491       X     28-4635         0     0       10491
MEREDITH CORP                  COM            589433101        394,000      23,690       X     28-12020    23690     0           0
MERGE HEALTHCARE INC           COM            589499102        116,960      86,000       X     28-12020    80000     0        6000
MERIDIAN BIOSCIENCE INC        COM            589584101         80,241       4,409       X     28-12020     4409     0           0
MERIDIAN RESOURCE CORP         COM            58977Q109          1,210       4,835       X     28-12020     3835     0        1000
MERIT MED SYS INC              COM            589889104          4,884         400       X     28-4635         0     0         400
MERIT MED SYS INC              COM            589889104        436,000      35,727       X     28-12020    35727     0           0
MERITAGE HOMES CORP            COM            59001A102          9,000         748       X     28-12020      748     0           0
MESABI TR                      CTF BEN INT    590672101        281,580      38,000       X     28-12020    38000     0           0
METABOLIX INC                  COM            591018809          2,023         331       X     28-12020      331     0           0
METALICO INC                   COM            591176102            850         500       X     28-12020      500     0           0







                                                                                                                  FILE NO. 28-1235
PAGE 290 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                      ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
METAVANTE TECHNOLOGIES INC     COM            591407101         86,077       4,323       X     28-12020     4323     0           0
METHANEX CORP                  COM            59151K108        863,552     110,570       X     28-4635         0     0      110570
METHANEX CORP                  COM            59151K108      1,599,000     204,694       X     28-12020   204694     0           0
METHODE ELECTRS INC            COM            591520200          1,000         150       X     28-12020      150     0           0
METLIFE INC                    COM            59156R108      1,073,059      47,126       X     28-4635         0     0       47126
METLIFE INC                    COM            59156R108     11,642,784     511,335       X     28-12020   490210     0       21125
METROPCS COMMUNICATIONS INC    COM            591708102        135,479       7,932       X     28-4635         0     0        7932
METROPCS COMMUNICATIONS INC    COM            591708102        419,581      24,582       X     28-12020    24582     0           0
METTLER TOLEDO INTERNAT IONAL  COM            592688105         27,000         526       X     28-4635         0     0         526
METTLER TOLEDO INTERNAT IONAL  COM            592688105         34,000         666       X     28-12020      666     0           0
MEXICO FD INC                  COM            592835102         74,200       5,936       X     28-12020     5936     0           0
MF GLOBAL LTD                  SHS            G60642108          5,000       1,152       X     28-12020     1152     0           0
MFA FINANCIAL INC              COM            55272X102         14,000       2,407       X     28-12020     2407     0           0
MFS CHARTER INCOME TR          SH BEN INT     552727109         15,288       2,100       X     28-12020     2100     0           0
MFS GOVT MKTS INCOME TR        SH BEN INT     552939100            590          81       X     28-12020       81     0           0
MFS INTER INCOME TR            SH BEN INT     55273C107         37,111       5,900       X     28-12020     5900     0           0
MFS INTERMARKET INCOME TRUST   SH BEN INT     59318R103          3,460         500       X     28-12020      500     0           0
MFS INVT GRADE MUN TR          SH BEN INT     59318B108          4,700         650       X     28-12020      650     0           0
MFS MUN INCOME TR              SH BEN INT     552738106        119,324      23,080       X     28-12020    23080     0           0
MGE ENERGY INC                 COM            55277P104         62,740       2,000       X     28-4635         0     0        2000
MGE ENERGY INC                 COM            55277P104         14,000         454       X     28-12020      454     0           0
MGIC INVT CORP WIS             COM            552848103          2,000       1,343       X     28-12020     1343     0           0
MGM MIRAGE                     COM            552953101          9,336       4,007       X     28-4635         0     0        4007
MGM MIRAGE                     COM            552953101         73,900      31,691       X     28-12020    31691     0           0
MICREL INC                     COM            594793101        711,744     101,100       X     28-4635         0     0      101100
MICREL INC                     COM            594793101        273,000      38,716       X     28-12020    38716     0           0
MICROCHIP TECHNOLOGY IN C      COM            595017104     11,172,639     527,260       X     28-4635         0     0      527260
MICROCHIP TECHNOLOGY IN C      COM            595017104      8,466,070     399,545       X     28-12020   397020     0        2525
MICROMET INC                   COM            59509C105         25,280       8,000       X     28-12020        0     0        8000
MICRON TECHNOLOGY INC          COM            595112103        172,229      42,421       X     28-4635         0     0       42421
MICRON TECHNOLOGY INC          COM            595112103        164,812      40,528       X     28-12020    40528     0           0
MICROS SYS INC                 COM            594901100        365,500      19,490       X     28-12020    19490     0           0
MICROSEMI CORP                 COM            595137100          9,000         791       X     28-12020      791     0           0
MICROSOFT CORP                 COM            594918104     37,067,445   2,017,825       X     28-4635         0     0     2017825
MICROSOFT CORP                 COM            594918104    137,129,258   7,464,878       X     28-12020  7274192     0      190686
MICROSTRATEGY INC              CL A NEW       594972408         13,000         385       X     28-12020      385     0           0
MID-AMER APT CMNTYS INC        COM            59522J103          7,000         225       X     28-12020      225     0           0
MIDAS GROUP INC                COM            595626102          6,000         789       X     28-12020      789     0           0
MIDCAP SPDR TR                 UNIT SER 1     595635103      1,306,525      14,748       X     28-12020    14748     0           0
MIDDLEBY CORP                  COM            596278101         36,727       1,130       X     28-12020     1130     0           0
MILLER HERMAN INC              COM            600544100         12,000       1,140       X     28-12020     1140     0           0
MILLICOM INTL CELLULAR S A     SHS NEW        L6388F110         37,040       1,000       X     28-4635         0     0        1000
MILLIPORE CORP                 COM            601073109        200,648       3,495       X     28-4635         0     0        3495
MILLIPORE CORP                 COM            601073109        234,410       4,082       X     28-12020     4082     0           0
MINDRAY MEDICAL INTL LT D      SPON ADR       602675100         72,189       3,900       X     28-4635         0     0        3900
MINDRAY MEDICAL INTL LT D      SPON ADR       602675100            370          20       X     28-12020       20     0           0
MINDSPEED TECHNOLOGIES INC     COM NEW        602682205             37          30       X     28-12020       30     0           0
MINE SAFETY APPLIANCES CO      COM            602720104         25,020       1,253       X     28-12020     1253     0           0
MINERALS TECHNOLOGIES I N C    COM            603158106        381,395      11,900       X     28-4635         0     0       11900
MINERALS TECHNOLOGIES I N C    COM            603158106        206,000       6,439       X     28-12020     6439     0           0
MIPS TECHNOLOGIES INC          COM            604567107              0          33       X     28-12020       33     0           0







                                                                                                                  FILE NO. 28-1235
PAGE 291 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                      ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
MIRANT CORP NEW                COM            60467R100         36,537       3,205       X     28-4635         0     0        3205
MIRANT CORP NEW                *W EXP
                               01/03/201      60467R100      1,426,759     125,181       X     28-12020   125181     0           0
MITSUBISHI UFJ FINL GRO UP IN  SPONSORED ADR  606822104        394,077      80,097       X     28-4635         0     0       80097
MITSUBISHI UFJ FINL GRO UP IN  SPONSORED ADR  606822104        477,408      97,055       X     28-12020    95055     0        2000
MITSUI & CO LTD                ADR            606827202        207,429       1,025       X     28-4635         0     0        1025
MITSUI & CO LTD                ADR            606827202          5,667          28       X     28-12020       28     0           0
MKS INSTRUMENT INC             COM            55306N104        451,836      30,800       X     28-4635         0     0       30800
MKS INSTRUMENT INC             COM            55306N104        635,000      43,267       X     28-12020    43267     0           0
MOBILE TELESYSTEMS OJSC        SPONSORED ADR  607409109         20,944         700       X     28-12020      700     0           0
MODUSLINK GLOBAL SOLUTI ONS I  COM            60786L107          4,052       1,642       X     28-12020     1642     0           0
MOHAWK INDS INC                COM            608190104        451,050      15,098       X     28-12020    13092     0        2006
MOLEX INC                      COM            608554101        129,431       9,420       X     28-4635         0     0        9420
MOLEX INC                      COM            608554101        181,629      13,209       X     28-12020    12368     0         841
MOLEX INC                      CL A           608554200        107,250       8,485       X     28-12020     8485     0           0
MOLINA HEALTHCARE INC          COM            60855R100        108,414       5,700       X     28-4635         0     0        5700
MOLINA HEALTHCARE INC          COM            60855R100        300,000      15,785       X     28-12020    15785     0           0
MOLSON COORS BREWING CO        CL B           60871R209        224,260       6,542       X     28-4635         0     0        6542
MOLSON COORS BREWING CO        CL B           60871R209        343,062       9,994       X     28-12020     8839     0        1155
MONARCH CASINO & RESORT INC    COM            609027107            232          45       X     28-12020       45     0           0
MONEYGRAM INTL INC             COM            60935Y109            935         792       X     28-4635         0     0         792
MONEYGRAM INTL INC             COM            60935Y109         12,399      10,508       X     28-12020    10508     0           0
MONOLITHIC PWR SYS INC         COM            609839105              0          21       X     28-12020       21     0           0
MONRO MUFFLER BRAKE INC        COM            610236101        515,854      18,875       X     28-4635         0     0       18875
MONRO MUFFLER BRAKE INC        COM            610236101      1,042,000      38,112       X     28-12020    38112     0           0
MONSANTO CO NEW                COM            61166W101     15,258,490     183,616       X     28-4635         0     0      183616
MONSANTO CO NEW                COM            61166W101     57,171,127     687,982       X     28-12020   404416     0      283566
MONSANTO CO NEW                COM            61166W101      2,328,500      17,400       X     28-12020    17400     0           0
MONSTER WORLDWIDE INC          COM            611742107        415,650      51,000       X     28-4635         0     0       51000
MONSTER WORLDWIDE INC          COM            611742107        191,000      23,476       X     28-12020    23476     0           0
MONTGOMERY STR INCOME S ECS I  COM            614115103         33,550       2,500       X     28-12020     2500     0           0
MONTPELIER RE HOLDINGS LTD     SHS            G62185106      1,957,608     151,050       X     28-4635         0     0      151050
MONTPELIER RE HOLDINGS LTD     SHS            G62185106      3,231,296     249,312       X     28-12020   249312     0           0
MOODYS CORP                    COM            615369105        198,556       8,663       X     28-4635         0     0        8663
MOODYS CORP                    COM            615369105      1,729,807      75,490       X     28-12020    71190     0        4300
MOOG INC                       CL A           615394202         18,811         817       X     28-12020      817     0           0
MORGAN STANLEY                 COM NEW        617446448      1,306,861      57,394       X     28-4635         0     0       57394
MORGAN STANLEY                 COM NEW        617446448     14,540,947     638,622       X     28-12020   617023     0       21599
MORGAN STANLEY                 MUN INC OPP II 61745P445          4,090         639       X     28-12020      639     0           0
MORGAN STANLEY                 MUN INCM OPPTN 61745P452         20,797       3,800       X     28-12020     3800     0           0
MORGAN STANLEY                 QLT MUN INV TR 61745P668         48,880       4,700       X     28-12020     4000     0         700
MORGAN STANLEY                 QUALT MUN INCM 61745P734         71,729       6,964       X     28-12020     6964     0           0
MORGAN STANLEY ASIA PAC FD I   COM            61744U106         14,115       1,500       X     28-12020     1500     0           0
MORGAN STANLEY EMER MKT S DEB  COM            61744H105         12,602       1,770       X     28-12020     1770     0           0
MORGAN STANLEY EMER MKT S FD   COM            61744G107         18,753       2,350       X     28-12020     2350     0           0
MORNINGSTAR INC                COM            617700109         34,765       1,018       X     28-4635         0     0        1018
MORNINGSTAR INC                COM            617700109         35,057       1,040       X     28-12020     1040     0           0
MOSAIC CO                      COM            61945A107        199,069       4,742       X     28-4635         0     0        4742
MOSAIC CO                      COM            61945A107        210,768       5,032       X     28-12020     5032     0           0
MOTOROLA INC                   COM            620076109        424,146     100,271       X     28-4635         0     0      100271
MOTOROLA INC                   COM            620076109        813,416     192,369       X     28-12020   187269     0        5100
MOVADO GROUP INC               COM            624580106              0          28       X     28-12020       28     0           0







                                                                                                                  FILE NO. 28-1235
PAGE 292 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                      ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
MOVE INC COM                   COM            62458M108              0          37       X     28-12020       37     0           0
MPS GROUP INC                  COM            553409103        131,495      22,100       X     28-4635         0     0       22100
MPS GROUP INC                  COM            553409103         14,000       2,435       X     28-12020     2435     0           0
MSC INDL DIRECT INC            CL A           553530106         25,000         813       X     28-12020      813     0           0
MSC SOFTWARE CORP              COM            553531104          1,000         141       X     28-12020      141     0           0
MSCI INC                       CL A           55354G100          6,000         343       X     28-12020      343     0           0
MTR GAMING GROUP INC           COM            553769100             77          86       X     28-12020       86     0           0
MTS SYS CORP                   COM            553777103          1,000          64       X     28-12020       64     0           0
MUELLER INDS INC               COM            624756102        289,562      13,350       X     28-4635         0     0       13350
MUELLER INDS INC               COM            624756102        493,014      22,750       X     28-12020    22750     0           0
MUELLER WTR PRODS INC          COM SER A      624758108          9,000       2,732       X     28-12020     2732     0           0
MULTI COLOR CORP               COM            625383104         56,955       4,657       X     28-12020     4657     0           0
MULTI FINELINE ELECTRON IX IN  COM            62541B101        853,788      50,700       X     28-4635         0     0       50700
MULTI FINELINE ELECTRON IX IN  COM            62541B101        696,000      41,350       X     28-12020    41350     0           0
MURPHY OIL CORP                COM            626717102        606,454      13,546       X     28-4635         0     0       13546
MURPHY OIL CORP                COM            626717102        657,781      14,692       X     28-12020    14346     0         346
MWI VETERINARY SUPPLY I N C    COM            55402X105          3,000          93       X     28-12020       93     0           0
MYERS INDS INC                 COM            628464109         13,508       2,200       X     28-4635         0     0        2200
MYERS INDS INC                 COM            628464109      3,204,279     521,852       X     28-12020   521852     0           0
MYLAN INC                      COM            628530107        305,265      22,764       X     28-4635         0     0       22764
MYLAN INC                      COM            628530107        464,350      34,636       X     28-12020    30886     0        3750
MYRIAD GENETICS INC            COM            62855J104        582,016      12,800       X     28-4635         0     0       12800
MYRIAD GENETICS INC            COM            62855J104        563,188      12,378       X     28-12020    12378     0           0
NABORS INDUSTRIES LTD          SHS            G6359F103        198,232      19,843       X     28-4635         0     0       19843
NABORS INDUSTRIES LTD          SHS            G6359F103     15,619,573   1,563,516       X     28-12020  1520122     0       43394
NACCO INDS INC                 CL A           629579103      2,597,304      95,562       X     28-12020    63562     0       32000
NALCO HOLDING COMPANY          COM            62985Q101         38,112       2,916       X     28-4635         0     0        2916
NALCO HOLDING COMPANY          COM            62985Q101         42,377       3,210       X     28-12020     3210     0           0
NARA BANCORP INC               COM            63080P105          4,998       1,700       X     28-4635         0     0        1700
NASB FINL INC                  COM            628968109          8,000         302       X     28-12020      302     0           0
NASDAQ OMX GROUP INC           COM            631103108      6,132,358     313,195       X     28-4635         0     0      313195
NASDAQ OMX GROUP INC           COM            631103108      5,854,317     298,978       X     28-12020   298978     0           0
NASDAQ PREM INCM & GRW FD IN   COM            63110R105         52,919       5,436       X     28-12020     5436     0           0
NASH FINCH CO                  COM            631158102        593,401      21,125       X     28-4635         0     0       21125
NASH FINCH CO                  COM            631158102      1,846,000      65,731       X     28-12020    65731     0           0
NATCO GROUP INC                CL A           63227W203          7,000         385       X     28-12020      385     0           0
NATIONAL BANKSHARES INC VA     COM            634865109        189,000      10,000       X     28-12020    10000     0           0
NATIONAL CINEMEDIA INC         COM            635309107          4,000         309       X     28-12020      309     0           0
NATIONAL CITY CORP COM DELET   ED             635405103        144,170     125,565       X     28-12020   125565     0           0
NATIONAL COAL CORP             COM NEW        632381208            680         500       X     28-12020      500     0           0
NATIONAL FINL PARTNERS CORP    COM            63607P208         13,200       4,119       X     28-12020     4119     0           0
NATIONAL FUEL GAS CO N J       COM            636180101        231,963       7,562       X     28-12020     6462     0        1100
NATIONAL GRID PLC              SPON ADR NEW   636274300         53,014       1,372       X     28-12020     1372     0           0
NATIONAL HEALTH INVS IN C      COM            63633D104         91,358       3,400       X     28-4635         0     0        3400
NATIONAL HEALTH INVS IN C      COM            63633D104        250,000       9,315       X     28-12020     9315     0           0
NATIONAL HEALTHCARE COR P      COM            635906100          6,000         150       X     28-12020      150     0           0
NATIONAL INSTRS CORP           COM            636518102         11,000         589       X     28-12020      589     0           0
NATIONAL INTERSTATE COR P      COM            63654U100          4,000         265       X     28-12020      265     0           0
NATIONAL OILWELL VARCO INC     COM            637071101      5,048,883     175,858       X     28-4635         0     0      175858
NATIONAL OILWELL VARCO INC     COM            637071101     22,366,949     779,080       X     28-12020   751551     0       27529
NATIONAL PENN BANCSHARE S INC  COM            637138108         84,212      10,146       X     28-4635         0     0       10146







                                                                                                                  FILE NO. 28-1235
PAGE 293 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                      ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
NATIONAL PENN BANCSHARE S INC  COM            637138108        243,000      29,223       X     28-12020    29223     0           0
NATIONAL PRESTO INDS IN C      COM            637215104        109,818       1,800       X      28-4635        0     0        1800
NATIONAL PRESTO INDS IN C      COM            637215104        347,000       5,690       X     28-12020     5690     0           0
NATIONAL RETAIL PROPERT IES I  COM            637417106        137,808       8,700       X      28-4635        0     0        8700
NATIONAL RETAIL PROPERT IES I  COM            637417106        301,000      18,999       X     28-12020    18999     0           0
NATIONAL SEMICONDUCTOR CORP    COM            637640103        190,909      18,589       X      28-4635        0     0       18589
NATIONAL SEMICONDUCTOR CORP    COM            637640103        138,486      13,525       X     28-12020    13525     0           0
NATIONAL WESTN LIFE INS CO     CL A           638522102         79,100         700       X      28-4635        0     0         700
NATIONAL WESTN LIFE INS CO     CL A           638522102        229,000       2,024       X     28-12020     2024     0           0
NATIONWIDE HEALTH PPTYS INC    COM            638620104        281,258      12,675       X      28-4635        0     0       12675
NATIONWIDE HEALTH PPTYS INC    COM            638620104      1,291,570      58,210       X     28-12020    58210     0           0
NATURAL GAS SERVICES GR OUP    COM            63886Q109        352,800      39,200       X      28-4635        0     0       39200
NATURAL GAS SERVICES GR OUP    COM            63886Q109        138,477      15,353       X     28-12020    15353     0           0
NATURAL RESOURCE PARTNE RS L   COM UNIT L P   63900P103          8,887         398       X     28-12020        0     0         398
NATUS MEDICAL INC DEL          COM            639050103          6,689         844       X     28-12020      844     0           0
NAVIGANT CONSULTING INC        COM            63935N107          8,822         675       X      28-4635        0     0         675
NAVIGANT CONSULTING INC        COM            63935N107        830,000      63,525       X     28-12020    63525     0           0
NAVIGATORS GROUP INC           COM            638904102      1,184,218      25,100       X      28-4635        0     0       25100
NAVIGATORS GROUP INC           COM            638904102      1,198,000      25,385       X     28-12020    25385     0           0
NAVIOS MARITIME HOLDING S INC  COM            Y62196103            237         103       X     28-12020      103     0           0
NAVISTAR INTL CORP NEW         COM            63934E108         19,942         596       X     28-12020      596     0           0
NB & T FINL GROUP INC          COM            62874M104         22,737       1,749       X     28-12020     1749     0           0
NBT BANCORP INC                COM            628778102        556,148      25,700       X      28-4635        0     0       25700
NBT BANCORP INC                COM            628778102        661,000      30,560       X     28-12020    30560     0           0
NBTY INC                       COM            628782104        225,280      16,000       X      28-4635        0     0       16000
NBTY INC                       COM            628782104        349,000      24,768       X     28-12020    24768     0           0
NCI BUILDING SYS INC           COM            628852105              0          81       X     28-12020       81     0           0
NCI INC                        CL A           62886K104        145,000       5,571       X     28-12020     5571     0           0
NCR CORP NEW                   COM            62886E108         17,045       2,144       X      28-4635        0     0        2144
NCR CORP NEW                   COM            62886E108         32,341       4,092       X     28-12020     4092     0           0
NEENAH PAPER INC               COM            640079109            363         100       X     28-12020      100     0           0
NELNET INC                     CL A           64031N108          6,000         686       X     28-12020      686     0           0
NEOGEN CORP                    COM            640491106          8,732         400       X      28-4635        0     0         400
NEOGEN CORP                    COM            640491106        845,421      38,725       X     28-12020    38725     0           0
NEOSE TECHNOLOGIES INC COM DEL ED             640522108             90         900       X     28-12020        0     0         900
NESS TECHNOLOGIES INC          COM            64104X108          1,000         296       X     28-12020      296     0           0
NET 1 UEPS TECHNOLOGIES INC    COM NEW        64107N206        107,596       7,074       X      28-4635        0     0        7074
NET 1 UEPS TECHNOLOGIES INC    COM NEW        64107N206         30,689       1,999       X     28-12020     1999     0           0
NETAPP INC                     COM            64110D104        389,016      26,214       X      28-4635        0     0       26214
NETAPP INC                     COM            64110D104        529,088      35,669       X     28-12020    32940     0        2729
NETEASE COM INC                SPONSORED ADR  64110W102        843,090      31,400       X      28-4635        0     0       31400
NETEASE COM INC                SPONSORED ADR  64110W102      2,059,000      76,700       X     28-12020    76700     0           0
NETFLIX INC                    COM            64110L106        176,088       4,099       X     28-12020     3099     0        1000
NETGEAR INC                    COM            64111Q104         13,000       1,093       X     28-12020     1093     0           0
NETLOGIC MICROSYSTEMS I N C    COM            64118B100          8,000         299       X     28-12020      299     0           0
NETSCOUT SYS INC               COM            64115T104         12,888       1,800       X      28-4635        0     0        1800
NEUBERGER BERMAN HGH YL D FD   COM            64128C106         18,410       2,672       X     28-12020     2672     0           0
NEUBERGER BERMAN INTER MUNI    COM            64124P101         61,822       5,139       X     28-12020     5139     0           0
NEUROCRINE BIOSCIENCES INC     COM            64125C109          2,000         437       X     28-12020      437     0           0
NEUSTAR INC                    CL A           64126X201         48,726       2,909       X      28-4635        0     0        2909
NEUSTAR INC                    CL A           64126X201         14,000         843       X     28-12020      843     0           0







                                                                                                                  FILE NO. 28-1235
PAGE 294 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                      ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
NEW GERMANY FD INC             COM            644465106          6,399       1,000       X     28-12020     1000     0           0
NEW JERSEY RES                 COM            646025106         65,160       1,921       X     28-12020      798     0        1123
NEW ORIENTAL ED & TECH GRP I   SPON ADR       647581107     12,411,248     246,990       X     28-4635         0     0      246990
NEW ORIENTAL ED & TECH GRP I   SPON ADR       647581107      8,428,140     167,717       X     28-12020   167717     0           0
NEW YORK & CO INC              COM            649295102          6,390       1,800       X     28-4635         0     0        1800
NEW YORK CMNTY BANCORP INC     COM            649445103         67,433       6,052       X     28-12020     6052     0           0
NEW YORK TIMES CO              CL A           650111107         21,786       4,820       X     28-4635         0     0        4820
NEW YORK TIMES CO              CL A           650111107         32,876       7,221       X     28-12020     7221     0           0
NEWALLIANCE BANCSHARES INC     COM            650203102         12,000       1,051       X     28-12020     1051     0           0
NEWCASTLE INVT CORP            COM            65105M108          2,000       2,324       X     28-12020     2324     0           0
NEWELL RUBBERMAID INC          COM            651229106         77,606      12,164       X     28-4635         0     0       12164
NEWELL RUBBERMAID INC          COM            651229106        244,102      38,201       X     28-12020    38201     0           0
NEWFIELD EXPL CO               COM            651290108         40,499       1,773       X     28-12020     1773     0           0
NEWMARKET CORP                 COM            651587107         27,720         620       X     28-12020      620     0           0
NEWMONT MINING CORP            COM            651639106      1,677,291      37,473       X     28-4635         0     0       37473
NEWMONT MINING CORP            COM            651639106      1,667,412      37,261       X     28-12020    32919     0        4342
NEWPORT CORP                   COM            651824104          3,000         610       X     28-12020      610     0           0
NEWS CORP                      CL A           65248E104        853,503     128,928       X     28-4635         0     0      128928
NEWS CORP                      CL A           65248E104        996,521     150,564       X     28-12020   143605     0        6959
NEWS CORP                      CL B           65248E203          8,855       1,150       X     28-12020     1150     0           0
NIC INC                        COM            62914B100          5,000       1,046       X     28-12020     1046     0           0
NICE SYS LTD                   SPONSORED ADR  653656108        512,787      20,627       X     28-4635         0     0       20627
NICE SYS LTD                   SPONSORED ADR  653656108        880,000      35,400       X     28-12020    35400     0           0
NICHOLAS APPLEGATE CV&I NC FD  COM            65370G109         38,454       9,266       X     28-12020     9266     0           0
NICOR INC                      COM            654086107         61,841       1,861       X     28-4635         0     0        1861
NICOR INC                      COM            654086107        165,280       4,960       X     28-12020     4960     0           0
NIDEC CORP                     SPONSORED ADR  654090109            629          56       X     28-12020       56     0           0
NII HLDGS INC                  CL B NEW       62913F201         74,865       4,991       X     28-4635         0     0        4991
NII HLDGS INC                  CL B NEW       62913F201      2,417,640     161,180       X     28-12020   158760     0        2420
NII HLDGS INC                  NOTE  3.125%
                               6/1            62913FAJ1            695       1,000       X     28-12020     1000     0           0
NIKE INC                       CL B           654106103     15,685,033     334,507       X     28-4635         0     0      334507
NIKE INC                       CL B           654106103     34,030,727     725,754       X     28-12020   708429     0       17325
NIPPON TELEG & TEL CORP        SPONSORED ADR  654624105         13,511         710       X     28-12020      710     0           0
NISOURCE INC                   COM            65473P105        117,904      12,031       X     28-4635         0     0       12031
NISOURCE INC                   COM            65473P105        304,082      31,048       X     28-12020    28780     0        2268
NISSAN MOTORS                  SPONSORED ADR  654744408         31,886       4,398       X     28-12020     4398     0           0
NOBLE ENERGY INC               COM            655044105        424,790       7,884       X     28-4635         0     0        7884
NOBLE ENERGY INC               COM            655044105        558,722      10,372       X     28-12020     9772     0         600
NOKIA CORP                     SPONSORED ADR  654902204        314,098      26,915       X     28-4635         0     0       26915
NOKIA CORP                     SPONSORED ADR  654902204     44,525,997   3,815,421       X     28-12020  3727841     0       87580
NOMURA HLDGS INC               SPONSORED ADR  65535H208         73,438      14,600       X     28-4635         0     0       14600
NOMURA HLDGS INC               SPONSORED ADR  65535H208          6,434       1,279       X     28-12020     1279     0           0
NORDIC AMERICAN TANKER SHIPP   COM            G65773106         14,860         501       X     28-12020      501     0           0
NORDSON CORP                   COM            655663102      2,161,977      76,038       X     28-12020    76038     0           0
NORDSTROM INC                  COM            655664100        186,495      11,134       X     28-4635         0     0       11134
NORDSTROM INC                  COM            655664100      1,551,355      92,599       X     28-12020    92399     0         200
NORFOLK SOUTHERN CORP          COM            655844108        775,980      22,992       X     28-4635         0     0       22992
NORFOLK SOUTHERN CORP          COM            655844108      9,180,394     272,025       X     28-12020   267425     0        4600
NORTEL NETWORKS CORP NE W COM  ED             656568508             34         150       X     28-4635         0     0         150
NORTEL NETWORKS CORP NE W COM  ED             656568508            117         522       X     28-12020      505     0          17
NORTHEAST UTILS                COM            664397106        163,069       7,553       X     28-4635         0     0        7553







                                                                                                                  FILE NO. 28-1235
PAGE 295 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                      ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
NORTHEAST UTILS                COM            664397106        259,195      12,000       X     28-12020    11000     0        1000
NORTHERN TR CORP               COM            665859104        924,099      15,448       X     28-4635         0     0       15448
NORTHERN TR CORP               COM            665859104     12,848,690     214,793       X     28-12020   210743     0        4050
NORTHFIELD BANCORP INC NEW     COM            66611L105          4,372         400       X     28-4635         0     0         400
NORTHFIELD LABS INC            COM            666135108            184         400       X     28-12020      400     0           0
NORTHGATE MINERALS CORP        COM            666416102        963,607     719,110       X     28-4635         0     0      719110
NORTHGATE MINERALS CORP        COM            666416102      1,734,000   1,294,202       X     28-12020  1294202     0           0
NORTHROP GRUMMAN CORP          COM            666807102        802,932      18,399       X     28-4635         0     0       18399
NORTHROP GRUMMAN CORP          COM            666807102      8,447,725     193,582       X     28-12020   187748     0        5834
NORTHSTAR RLTY FIN CORP        COM            66704R100          5,000       2,279       X     28-12020     2279     0           0
NORTHWEST BANCORP INC P A      COM            667328108        237,600      14,071       X     28-12020    14071     0           0
NORTHWEST NAT GAS CO           COM            667655104        329,992       7,600       X     28-4635         0     0        7600
NORTHWEST NAT GAS CO           COM            667655104        907,513      20,900       X     28-12020    20900     0           0
NORTHWEST PIPE CO              COM            667746101         10,000         356       X     28-12020      356     0           0
NORTHWESTERN CORP              COM NEW        668074305        782,946      36,450       X     28-4635         0     0       36450
NORTHWESTERN CORP              COM NEW        668074305        945,000      44,003       X     28-12020    44003     0           0
NOVA CHEMICALS CORP            COM            66977W109         87,575      15,204       X     28-12020    15204     0           0
NOVAGOLD RES INC               COM NEW        66987E206        121,440      44,000       X     28-12020        0     0       44000
NOVARTIS A G                   SPONSORED ADR  66987V109        173,451       4,585       X     28-4635         0     0        4585
NOVARTIS A G                   SPONSORED ADR  66987V109     39,721,184   1,049,994       X     28-12020  1022355     0       27639
NOVATEL WIRELESS INC           COM NEW        66987M604        256,553      45,650       X     28-4635         0     0       45650
NOVATEL WIRELESS INC           COM NEW        66987M604        132,000      23,476       X     28-12020    23476     0           0
NOVELL INC                     COM            670006105         64,352      15,106       X     28-4635         0     0       15106
NOVELL INC                     COM            670006105         94,977      22,202       X     28-12020    20091     0        2111
NOVELLUS SYS INC               COM            670008101        107,413       6,459       X     28-4635         0     0        6459
NOVELLUS SYS INC               COM            670008101         90,411       5,451       X     28-12020     5451     0           0
NOVEN PHARMACEUTICALS I N C    COM            670009109         11,376       1,200       X     28-12020        0     0        1200
NOVO-NORDISK A S               ADR            670100205        888,590      18,520       X     28-4635         0     0       18520
NOVO-NORDISK A S               ADR            670100205      1,415,000      29,500       X     28-12020    29500     0           0
NPS PHARMACEUTICALS INC        COM            62936P103         12,268       2,921       X     28-12020        0     0        2921
NRG ENERGY INC                 COM NEW        629377508        142,120       8,075       X     28-4635         0     0        8075
NRG ENERGY INC                 COM NEW        629377508      1,652,320      93,892       X     28-12020    93892     0           0
NSTAR                          COM            67019E107         38,256       1,200       X     28-4635         0     0        1200
NSTAR                          COM            67019E107        325,833      10,227       X     28-12020     7227     0        3000
NTELOS HLDGS CORP              COM            67020Q107          3,000         147       X     28-12020      147     0           0
NU SKIN ENTERPRISES INC        CL A           67018T105         11,000       1,009       X     28-12020     1009     0           0
NUANCE COMMUNICATIONS I N C    COM            67020Y100        298,100      27,500       X     28-4635         0     0       27500
NUANCE COMMUNICATIONS I N C    COM            67020Y100         54,352       4,995       X     28-12020     3195     0        1800
NUCOR CORP                     COM            670346105        697,977      18,286       X     28-4635         0     0       18286
NUCOR CORP                     COM            670346105      1,567,183      41,060       X     28-12020    39754     0        1306
NUSTAR ENERGY LP               UNIT COM       67058H102        135,813       2,955       X     28-12020     2955     0           0
NUTRI SYS INC NEW              COM            67069D108         14,000         974       X     28-12020      974     0           0
NUVASIVE INC                   COM            670704105      2,029,658      64,680       X     28-4635         0     0       64680
NUVASIVE INC                   COM            670704105      3,705,987     118,096       X     28-12020   118096     0           0
NUVEEN CA DIVIDEND ADV MUN F   COM SHS        67066Y105         10,310       1,000       X     28-12020        0     0        1000
NUVEEN DIV ADV MUNI FD 3       COM SH BEN INT 67070X101         97,048       8,665       X     28-12020     8665     0           0
NUVEEN DIV ADVANTAGE MU N FD   COM            67070F100         89,775       7,500       X     28-12020     7500     0           0
NUVEEN DIVERSIFIED DIV INCM    COM            6706EP105          2,327         435       X     28-12020      435     0           0
NUVEEN DIVID ADVANTAGE MUN F   COM            67066V101        110,400      10,000       X     28-12020    10000     0           0
NUVEEN EQUITY PREM INCO ME FD  COM            6706ER101         24,960       2,600       X     28-12020     2600     0           0
NUVEEN FLOATING RATE IN COME   COM            67072T108          9,392       1,600       X     28-12020     1600     0           0







                                                                                                                  FILE NO. 28-1235
PAGE 296 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                      ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
NUVEEN INSD MUN OPPORTU NITY   COM            670984103        161,935      13,900       X     28-12020    13900     0           0
NUVEEN INVT QUALITY MUN FD I   COM            67062E103         58,900       5,000       X     28-12020     5000     0           0
NUVEEN MICH PREM INCOME MUN    COM            67101Q109         11,024       1,085       X     28-12020      700     0         385
NUVEEN MICH QUALITY INC OME M  COM            670979103         65,343       6,289       X     28-12020     6289     0           0
NUVEEN MULT CURR ST GV INCM    COM            67090N109         21,970       1,745       X     28-12020     1745     0           0
NUVEEN MULTI STRAT INC & GR    COM            67073B106          1,271         350       X     28-12020        0     0         350
NUVEEN MULTI STRAT INC GR FD   COM SHS        67073D102         17,446       4,567       X     28-12020      934     0        3633
NUVEEN MUN ADVANTAGE FD INC    COM            67062H106        183,924      15,600       X     28-12020    15600     0           0
NUVEEN MUN MKT OPPORTUN ITY F  COM            67062W103        106,400       9,500       X     28-12020     9500     0           0
NUVEEN MUN VALUE FD INC        COM            670928100        138,417      15,570       X     28-12020    15570     0           0
NUVEEN OH DIV ADV MUNI FD 2    COM SH BEN INT 67070R104         61,875       5,500       X     28-12020     5500     0           0
NUVEEN OH DIV ADVANTAGE MUN    COM            67070C107        153,376      12,965       X     28-12020    12965     0           0
NUVEEN OHIO DIVID ADVAN TAGE   COM            67071V104         39,680       3,200       X     28-12020     3200     0           0
NUVEEN OHIO QUALITY INC OME M  COM            670980101        199,182      16,063       X     28-12020    16063     0           0
NUVEEN PA INVT QUALITY MUN F   COM            670972108        351,180      31,496       X     28-12020    30496     0        1000
NUVEEN PA PREM INCOME M UN FD  COM            67061F101         38,279       3,790       X     28-12020        0     0        3790
NUVEEN PERFORMANCE PLUS MUN    COM            67062P108         24,149       2,050       X     28-12020     2050     0           0
NUVEEN PREM INCOME MUN FD      COM            67062T100         93,337       8,166       X     28-12020     1500     0        6666
NUVEEN PREM INCOME MUN FD 2    COM            67063W102         90,792       7,800       X     28-12020     7800     0           0
NUVEEN PREM INCOME MUN FD 4    COM            6706K4105          8,850         885       X     28-12020      885     0           0
NUVEEN PREMIER MUN INCO ME FD  COM            670988104         21,373       1,922       X     28-12020      300     0        1622
NUVEEN QUALITY INCOME M UN FD  COM            670977107         23,740       2,000       X     28-12020     2000     0           0
NUVEEN QUALITY PFD INCO ME FD  COM            67072C105          5,600       1,400       X     28-12020     1400     0           0
NUVEEN QUALITY PFD INCO ME FD  COM            67071S101          3,810       1,000       X     28-12020     1000     0           0
NUVEEN SELECT QUALITY M UN FD  COM            670973106          5,665         500       X     28-12020        0     0         500
NUVEEN SR INCOME FD            COM            67067Y104          7,861       2,449       X     28-12020     2449     0           0
NUVEEN TAX ADV FLTG RAT E FUN  COM            6706EV102         46,933      21,141       X     28-12020        0     0       21141
NUVEEN TAX FREE ADV MUN FD     COM            670657105         10,403         872       X     28-12020      872     0           0
NV ENERGY INC                  COM            67073Y106         39,222       4,177       X     28-4635         0     0        4177
NV ENERGY INC                  COM            67073Y106         33,451       3,558       X     28-12020     3558     0           0
NVE CORP                       COM NEW        629445206         13,886         489       X     28-12020      489     0           0
NVIDIA CORP                    COM            67066G104        406,488      41,226       X     28-4635         0     0       41226
NVIDIA CORP                    COM            67066G104        346,631      35,183       X     28-12020    33448     0        1735
NVR INC                        COM            62944T105      3,421,145       7,998       X     28-4635         0     0        7998
NVR INC                        COM            62944T105      3,978,000       9,299       X     28-12020     9299     0           0
NXSTAGE MEDICAL INC            COM            67072V103          5,000       2,023       X     28-12020     2023     0           0
NYSE EURONEXT                  COM            629491101      2,514,019     140,448       X     28-4635         0     0      140448
NYSE EURONEXT                  COM            629491101      3,496,651     195,341       X     28-12020   194421     0         920
O CHARLEYS INC                 COM            670823103        392,892     130,557       X     28-12020   130557     0           0
O REILLY AUTOMOTIVE INC        COM            686091109        296,710       8,475       X     28-4635         0     0        8475
O REILLY AUTOMOTIVE INC        COM            686091109      1,722,820      49,222       X     28-12020    49222     0           0
OCCIDENTAL PETE CORP DE L      COM            674599105      3,720,036      66,847       X     28-4635         0     0       66847
OCCIDENTAL PETE CORP DE L      COM            674599105     71,862,671   1,291,329       X     28-12020  1261989     0       29340
OCEANEERING INTL INC           COM            675232102        212,998       5,777       X     28-4635         0     0        5777
OCEANEERING INTL INC           COM            675232102         24,000         663       X     28-12020      663     0           0
OCWEN FINL CORP                COM NEW        675746309         33,071       2,887       X     28-12020     2887     0           0
ODYSSEY HEALTHCARE INC         COM            67611V101              0          19       X     28-12020       19     0           0
ODYSSEY RE HLDGS CORP          COM            67612W108        295,854       7,800       X     28-4635         0     0        7800
ODYSSEY RE HLDGS CORP          COM            67612W108        820,000      21,616       X     28-12020    21616     0           0
OFFICE DEPOT INC               COM            676220106         15,868      12,113       X     28-4635         0     0       12113
OFFICE DEPOT INC               COM            676220106         18,000      13,836       X     28-12020    13836     0           0







                                                                                                                  FILE NO. 28-1235
PAGE 297 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                      ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
OFFICEMAX INC DEL              COM            67622P101          2,000         564       X     28-12020      564     0           0
OGE ENERGY CORP                COM            670837103         99,125       4,162       X     28-12020     4162     0           0
OIL STS INTL INC               COM            678026105        822,445      61,285       X     28-4635         0     0       61285
OIL STS INTL INC               COM            678026105      1,469,463     109,504       X     28-12020   109504     0           0
OILSANDS QUEST INC             COM            678046103          7,200      10,000       X     28-12020    10000     0           0
OLD NATL BANCORP IND           COM            680033107      1,004,755      89,969       X     28-12020    14100     0       75869
OLD REP INTL CORP              COM            680223104      1,952,284     180,420       X     28-12020   180420     0           0
OLD SECOND BANCORP INC ILL     COM            680277100         35,512       5,536       X     28-12020     5536     0           0
OLIN CORP                      COM PAR $1     680665205         68,496       4,800       X     28-4635         0     0        4800
OLIN CORP                      COM PAR $1     680665205         28,551       1,984       X     28-12020     1984     0           0
OLYMPIC STEEL INC              COM            68162K106          9,102         600       X     28-4635         0     0         600
OLYMPIC STEEL INC              COM            68162K106              0          28       X     28-12020       28     0           0
OM GROUP INC                   COM            670872100        497,490      25,750       X     28-4635         0     0       25750
OM GROUP INC                   COM            670872100        715,000      36,997       X     28-12020    36997     0           0
OMEGA FLEX INC                 COM            682095104        257,760      16,000       X     28-12020    16000     0           0
OMEGA HEALTHCARE INVS I N C    COM            681936100         24,000       1,698       X     28-12020     1698     0           0
OMEGA PROTEIN CORP             COM            68210P107          1,320         500       X     28-12020      500     0           0
OMNICARE INC                   COM            681904108         47,535       1,941       X     28-4635         0     0        1941
OMNICARE INC                   COM            681904108         86,633       3,519       X     28-12020     1819     0        1700
OMNICELL INC                   COM            68213N109          2,000         284       X     28-12020      284     0           0
OMNICOM GROUP INC              COM            681919106        611,021      26,112       X     28-4635         0     0       26112
OMNICOM GROUP INC              COM            681919106     27,147,143   1,160,153       X     28-12020  1123844     0       36309
OMNICOM GROUP INC              COM            681919106        590,000       6,000       X     28-12020     6000     0           0
OMNITURE INC                   COM            68212S109         13,903       1,055       X     28-12020     1055     0           0
OMNIVISION TECHNOLOGIES INC    COM            682128103          7,000         969       X     28-12020      969     0           0
OMNOVA SOLUTIONS INC           COM            682129101         10,440       6,000       X     28-12020     6000     0           0
ON ASSIGNMENT INC              COM            682159108              0         180       X     28-12020      180     0           0
ON SEMICONDUCTOR CORP          COM            682189105         35,521       9,083       X     28-12020     7411     0        1672
ONEBEACON INSURANCE GRO UP LT  CL A           G67742109          5,000         503       X     28-12020      503     0           0
ONEOK INC NEW                  COM            682680103         88,838       3,917       X     28-12020     3917     0           0
ONEOK PARTNERS LP              UNIT LTD PARTN 68268N103        374,185       9,200       X     28-12020     8700     0         500
ONLINE RES CORP                COM            68273G101          2,000         483       X     28-12020      483     0           0
ONYX PHARMACEUTICALS IN C      COM            683399109        334,035      11,700       X     28-4635         0     0       11700
ONYX PHARMACEUTICALS IN C      COM            683399109        150,000       5,239       X     28-12020     5239     0           0
OPEN JT STK CO-VIMPEL C OMMUN  SPONSORED ADR  68370R109            392          60       X     28-12020       60     0           0
OPENTV CORP                    CL A           G67543101          2,265       1,500       X     28-12020        0     0        1500
OPLINK COMMUNICATIONS I N C    COM NEW        68375Q403          8,000       1,068       X     28-12020     1068     0           0
OPTIONSXPRESS HLDGS INC        COM            684010101         12,536       1,085       X     28-12020     1085     0           0
ORACLE CORP                    COM            68389X105     21,633,241   1,197,191       X     28-4635         0     0     1197191
ORACLE CORP                    COM            68389X105    109,668,030   6,069,094       X     28-12020  5895328     0      173766
ORBCOMM INC                    COM            68555P100          2,000       1,303       X     28-12020     1303     0           0
ORBITAL SCIENCES CORP          COM            685564106          7,000         566       X     28-12020      566     0           0
ORBOTECH LTD                   ORD            M75253100         18,571       4,900       X     28-4635         0     0        4900
ORIENT-EXPRESS HOTELS L T D    CL A           G67743107          2,000         472       X     28-12020      472     0           0
ORIENTAL FINL GROUP INC        COM            68618W100         21,472       4,400       X     28-4635         0     0        4400
ORIENTAL FINL GROUP INC        COM            68618W100          4,000         821       X     28-12020      821     0           0
ORIX CORP                      SPONSORED ADR  686330101         39,940       2,425       X     28-4635         0     0        2425
ORMAT TECHNOLOGIES INC         COM            686688102          3,000         100       X     28-12020      100     0           0
ORTHOFIX INTL N V              COM            N6748L102          2,000         117       X     28-12020      117     0           0
OSHKOSH CORP                   COM            688239201         13,628       2,022       X     28-4635         0     0        2022
OSHKOSH CORP                   COM            688239201         34,207       5,075       X     28-12020     5075     0           0







                                                                                                                  FILE NO. 28-1235
PAGE 298 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                      ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
OSI PHARMACEUTICALS INC        COM            671040103      1,339,100      35,000       X     28-4635         0     0       35000
OSI PHARMACEUTICALS INC        COM            671040103        446,000      11,648       X     28-12020    11648     0           0
OSI SYSTEMS INC                COM            671044105      1,643,197     107,680       X     28-4635         0     0      107680
OSI SYSTEMS INC                COM            671044105      2,964,000     194,241       X     28-12020   194241     0           0
OTTER TAIL CORP                COM            689648103         13,820         623       X     28-12020      623     0           0
OVERSEAS SHIPHOLDING GR OUP I  COM            690368105         10,000         461       X     28-12020      461     0           0
OWENS & MINOR INC NEW          COM            690732102        261,727       7,900       X     28-4635         0     0        7900
OWENS & MINOR INC NEW          COM            690732102        938,000      28,303       X     28-12020    28303     0           0
OWENS CORNING NEW              COM            690742101         65,088       7,200       X     28-4635         0     0        7200
OWENS CORNING NEW              COM            690742101          7,000         723       X     28-12020      723     0           0
OWENS ILL INC                  COM NEW        690768403      1,221,682      84,604       X     28-4635         0     0       84604
OWENS ILL INC                  COM NEW        690768403      2,609,298     180,684       X     28-12020   180684     0           0
OXFORD INDS INC                COM            691497309              0          36       X     28-12020       36     0           0
OYO GEOSPACE CORP              COM            671074102          7,918         606       X     28-12020      606     0           0
P C CONNECTION                 COM            69318J100          1,000         219       X     28-12020      219     0           0
P F CHANGS CHINA BISTRO INC    COM            69333Y108          9,152         400       X     28-4635         0     0         400
P F CHANGS CHINA BISTRO INC    COM            69333Y108          2,000          99       X     28-12020       99     0           0
P T TELEKOMUNIKASI INDO NESIA  SPONSORED ADR  715684106         25,700       1,000       X     28-4635         0     0        1000
PACCAR INC                     COM            693718108        801,368      31,109       X     28-4635         0     0       31109
PACCAR INC                     COM            693718108        558,179      21,666       X     28-12020    21666     0           0
PACER INTL INC TENN            COM            69373H106        119,525      34,150       X     28-4635         0     0       34150
PACER INTL INC TENN            COM            69373H106         63,000      18,004       X     28-12020    18004     0           0
PACIFIC CAP BANCORP NEW        COM            69404P101         10,509       1,546       X     28-12020     1546     0           0
PACKAGING CORP AMER            COM            695156109         29,100       2,235       X     28-4635         0     0        2235
PACKAGING CORP AMER            COM            695156109      2,909,000     223,441       X     28-12020   223441     0           0
PACTIV CORP                    COM            695257105        105,821       7,253       X     28-4635         0     0        7253
PACTIV CORP                    COM            695257105      1,067,590      73,201       X     28-12020    73201     0           0
PACWEST BANCORP DEL            COM            695263103          6,000         400       X     28-12020      400     0           0
PALL CORP                      COM            696429307        126,666       6,200       X     28-4635         0     0        6200
PALL CORP                      COM            696429307        258,138      12,651       X     28-12020    12651     0           0
PALM INC NEW                   COM            696643105         19,069       2,276       X     28-12020     2276     0           0
PALOMAR MED TECHNOLOGIE S INC  COM NEW        697529303         33,396       4,600       X     28-4635         0     0        4600
PALOMAR MED TECHNOLOGIE S INC  COM NEW        697529303          4,000         488       X     28-12020      488     0           0
PAN AMERICAN SILVER COR P      COM            697900108         17,420       1,000       X     28-12020     1000     0           0
PANASONIC CORP                 ADR            69832A205        146,699      13,300       X     28-4635         0     0       13300
PANASONIC CORP                 ADR            69832A205         38,053       3,450       X     28-12020     3450     0           0
PANERA BREAD CO                CL A           69840W108      1,277,315      22,850       X     28-4635         0     0       22850
PANERA BREAD CO                CL A           69840W108        505,670       9,048       X     28-12020     9048     0           0
PANTRY INC                     COM            698657103         76,000       4,338       X     28-12020     4338     0           0
PAPA JOHNS INTL INC            COM            698813102         99,341       4,334       X     28-12020     4334     0           0
PAR PHARMACEUTICAL COS INC     COM            69888P106          5,000         528       X     28-12020      528     0           0
PARALLEL PETE CORP DEL         COM            699157103          2,000       1,223       X     28-12020     1223     0           0
PARAMETRIC TECHNOLOGY C ORP    COM NEW        699173209        465,068      46,600       X     28-4635         0     0       46600
PARAMETRIC TECHNOLOGY C ORP    COM NEW        699173209        202,000      20,233       X     28-12020    20233     0           0
PAREXEL INTL CORP              COM            699462107      1,054,271     108,362       X     28-12020      626     0      107736
PARK ELECTROCHEMICAL CO RP     COM            700416209         17,280       1,000       X     28-4635         0     0        1000
PARK ELECTROCHEMICAL CO RP     COM            700416209          1,000          59       X     28-12020       59     0           0
PARK NATL CORP                 COM            700658107         49,286         882       X     28-12020      882     0           0
PARK OHIO HLDGS CORP           COM            700666100            326         100       X     28-12020      100     0           0
PARKER DRILLING CO             COM            701081101          4,600       2,500       X     28-4635         0     0        2500
PARKER HANNIFIN CORP           COM            701094104        559,039      16,452       X     28-4635         0     0       16452







                                                                                                                  FILE NO. 28-1235
PAGE 299 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                      ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
PARKER HANNIFIN CORP           COM            701094104     15,279,671     449,671       X     28-12020   448719     0         952
PARKWAY PPTYS INC              COM            70159Q104          3,060         250       X     28-12020      250     0           0
PARTICLE DRILLING TECHN OLOGI  COM            70212G101         25,736     157,888       X     28-12020   157888     0           0
PARTNER COMMUNICATIONS CO LT   ADR            70211M109        480,816      31,800       X     28-4635         0     0       31800
PARTNER COMMUNICATIONS CO LT   ADR            70211M109        309,000      20,458       X     28-12020    20458     0           0
PARTNERRE LTD                  COM            G6852T105      2,640,000      42,532       X     28-12020    42532     0           0
PATRIOT COAL CORP              COM            70336T104          5,380       1,450       X     28-4635         0     0        1450
PATRIOT COAL CORP              COM            70336T104         21,883       5,866       X     28-12020     5866     0           0
PATRIOT TRANSN HLDG INC        COM            70337B102          7,000         110       X     28-12020      110     0           0
PATTERSON COMPANIES INC        COM            703395103        174,417       9,248       X     28-4635         0     0        9248
PATTERSON COMPANIES INC        COM            703395103        583,741      30,929       X     28-12020    30929     0           0
PATTERSON UTI ENERGY IN C      COM            703481101         25,480       2,888       X     28-12020     2388     0         500
PAYCHEX INC                    COM            704326107      6,128,969     238,760       X     28-4635         0     0      238760
PAYCHEX INC                    COM            704326107      7,421,148     289,087       X     28-12020   287973     0        1114
PDL BIOPHARMA INC              COM            69329Y104        398,604      56,300       X     28-4635         0     0       56300
PDL BIOPHARMA INC              COM            69329Y104        174,000      24,556       X     28-12020    24556     0           0
PEABODY ENERGY CORP            COM            704549104        575,895      22,999       X     28-4635         0     0       22999
PEABODY ENERGY CORP            COM            704549104     20,338,867     812,266       X     28-12020   789616     0       22650
PENGROWTH ENERGY TR            TR UNIT NEW    706902509         10,881       1,950       X     28-12020     1950     0           0
PENN NATL GAMING INC           COM            707569109      1,565,669      64,831       X     28-4635         0     0       64831
PENN NATL GAMING INC           COM            707569109      2,861,837     118,511       X     28-12020   118511     0           0
PENN VA CORP                   COM            707882106        190,464      17,379       X     28-12020     2379     0       15000
PENN VA GP HLDGS L P           COM UNIT R LIM 70788P105        111,484       9,400       X     28-12020     9400     0           0
PENN VA RESOURCES PARTN ERS L  COM            707884102         92,910       8,150       X     28-12020     8150     0           0
PENN WEST ENERGY TR            TR UNIT        707885109         36,328       3,828       X     28-12020     2755     0        1073
PENNEY J C INC                 COM            708160106        195,662       9,749       X     28-4635         0     0        9749
PENNEY J C INC                 COM            708160106        469,156      23,398       X     28-12020    20045     0        3353
PENNSYLVANIA RL ESTATE INVT    SH BEN INT     709102107          5,725       1,527       X     28-12020     1527     0           0
PENSKE AUTOMOTIVE GRP I N C    COM            70959W103         11,000       1,160       X     28-12020     1160     0           0
PENTAIR INC                    COM            709631105         78,012       3,600       X     28-4635         0     0        3600
PENTAIR INC                    COM            709631105         65,006       2,993       X     28-12020     2993     0           0
PEOPLES BANCORP INC            COM            709789101         25,960       2,000       X     28-12020     2000     0           0
PEOPLES UNITED FINANCIA L INC  COM            712704105        437,749      24,360       X     28-4635         0     0       24360
PEOPLES UNITED FINANCIA L INC  COM            712704105        975,648      54,303       X     28-12020    54303     0           0
PEP BOYS MANNY MOE & JA CK     COM            713278109         11,025       2,500       X     28-12020        0     0        2500
PEPCO HOLDINGS INC             COM            713291102        120,020       9,617       X     28-4635         0     0        9617
PEPCO HOLDINGS INC             COM            713291102        198,549      15,931       X     28-12020    14931     0        1000
PEPSI BOTTLING GROUP IN C      COM            713409100        152,257       6,877       X     28-4635         0     0        6877
PEPSI BOTTLING GROUP IN C      COM            713409100        181,941       8,224       X     28-12020     7875     0         349
PEPSIAMERICAS INC              COM            71343P200         15,525         900       X     28-4635         0     0         900
PEPSIAMERICAS INC              COM            71343P200         97,954       5,666       X     28-12020     5666     0           0
PEPSICO INC                    COM            713448108     17,582,737     341,545       X     28-4635         0     0      341545
PEPSICO INC                    COM            713448108    239,395,823   4,650,274       X     28-12020  4459883     0      190391
PEPSICO INC                    COM            713448108        752,500      16,000       X     28-12020    16000     0           0
PERFICIENT INC                 COM            71375U101          5,000         857       X     28-12020      857     0           0
PERICOM SEMICONDUCTOR C ORP    COM            713831105         52,632       7,200       X     28-4635         0     0        7200
PERICOM SEMICONDUCTOR C ORP    COM            713831105          7,000       1,000       X     28-12020     1000     0           0
PERINI CORP                    COM            713839108        262,605      21,350       X     28-4635         0     0       21350
PERINI CORP                    COM            713839108        103,000       8,391       X     28-12020     8391     0           0
PERKINELMER INC                COM            714046109        122,515       9,594       X     28-4635         0     0        9594
PERKINELMER INC                COM            714046109        248,430      19,449       X     28-12020    19449     0           0







                                                                                                                  FILE NO. 28-1235
PAGE 300 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                      ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
PERMIAN BASIN RTY TR           UNIT BEN INT   714236106         75,000       7,500       X     28-4635         0     0        7500
PERMIAN BASIN RTY TR           UNIT BEN INT   714236106        207,000      20,700       X     28-12020    19900     0         800
PEROT SYS CORP                 CL A           714265105      2,503,872     194,400       X     28-4635         0     0      194400
PEROT SYS CORP                 CL A           714265105      3,646,000     283,043       X     28-12020   283043     0           0
PERRIGO CO                     COM            714290103      1,200,531      48,350       X     28-4635         0     0       48350
PERRIGO CO                     COM            714290103      2,357,533      94,967       X     28-12020    94967     0           0
PETMED EXPRESS INC             COM            716382106        934,416      56,700       X     28-4635         0     0       56700
PETMED EXPRESS INC             COM            716382106        742,352      45,030       X     28-12020    45030     0           0
PETRO-CDA                      COM            71644E102          7,682         289       X     28-12020      289     0           0
PETROHAWK ENERGY CORP          COM            716495106        112,688       5,860       X     28-4635         0     0        5860
PETROHAWK ENERGY CORP          COM            716495106        118,075       6,134       X     28-12020     6134     0           0
PETROLEO BRASILEIRO SA PETRO   SP ADR NON VTG 71654V101          9,800         400       X     28-12020      400     0           0
PETROLEO BRASILEIRO SA PETRO   SPONSORED ADR  71654V408      6,976,167     228,952       X     28-4635         0     0      228952
PETROLEO BRASILEIRO SA PETRO   SPONSORED ADR  71654V408      6,540,299     214,643       X     28-12020   210643     0        4000
PETROLEUM DEV CORP             COM            716578109          4,000         363       X     28-12020      363     0           0
PETROQUEST ENERGY INC          COM            716748108              0          82       X     28-12020       82     0           0
PETSMART INC                   COM            716768106         73,863       3,524       X     28-4635         0     0        3524
PETSMART INC                   COM            716768106         42,000       2,012       X     28-12020     2012     0           0
PFIZER INC                     COM            717081103     20,132,444   1,478,153       X     28-4635         0     0     1478153
PFIZER INC                     COM            717081103    103,401,476   7,591,927       X     28-12020  7304034     0      287893
PFIZER INC                     COM            717081103      8,650,000      89,000       X     28-12020    89000     0           0
PG&E CORP                      COM            69331C108     11,519,470     301,399       X     28-4635         0     0      301399
PG&E CORP                      COM            69331C108     12,631,463     330,482       X     28-12020   330482     0           0
PGT INC                        COM            69336V101        812,281     584,375       X     28-12020   584375     0           0
PHARMACEUTICAL PROD DEV INC    COM            717124101      1,322,722      55,764       X     28-4635         0     0       55764
PHARMACEUTICAL PROD DEV INC    COM            717124101      2,379,357     100,316       X     28-12020   100316     0           0
PHARMERICA CORP                COM            71714F104          4,992         300       X     28-4635         0     0         300
PHARMERICA CORP                COM            71714F104        491,749      29,524       X     28-12020    29524     0           0
PHASE FORWARD INC              COM            71721R406        157,317      12,300       X     28-4635         0     0       12300
PHASE FORWARD INC              COM            71721R406          8,103         639       X     28-12020      639     0           0
PHH CORP                       COM NEW        693320202            169          12       X     28-12020       12     0           0
PHILIP MORRIS INTL INC         COM            718172109      6,090,015     171,164       X     28-4635         0     0      171164
PHILIP MORRIS INTL INC         COM            718172109     73,391,729   2,062,735       X     28-12020  1868177     0      194558
PHILLIPS VAN HEUSEN COR P      COM            718592108         20,412         900       X     28-4635         0     0         900
PHILLIPS VAN HEUSEN COR P      COM            718592108         14,000         623       X     28-12020      623     0           0
PHOENIX COS INC NEW            COM            71902E109          1,228         845       X     28-12020      845     0           0
PICO HLDGS INC                 COM NEW        693366205         10,000         320       X     28-12020      320     0           0
PIEDMONT NAT GAS INC           COM            720186105        165,696       6,400       X     28-4635         0     0        6400
PIEDMONT NAT GAS INC           COM            720186105        622,269      24,016       X     28-12020    21416     0        2600
PIKE ELEC CORP                 COM            721283109              0           7       X     28-12020        7     0           0
PIMCO CORPORATE INCOME FD      COM            72200U100         12,583       1,565       X     28-12020     1565     0           0
PIMCO CORPORATE OPP FD         COM            72201B101         26,560       3,320       X     28-12020     3320     0           0
PIMCO FLOATING RATE INC OME F  COM            72201H108          7,059       1,300       X     28-12020     1300     0           0
PIMCO FLOATING RATE STR TGY F  COM            72201J104         15,280       3,272       X     28-12020     3272     0           0
PIMCO HIGH INCOME FD           COM SHS        722014107         11,140       2,000       X     28-12020     2000     0           0
PIMCO MUNICIPAL INCOME FD      COM            72200R107         10,146       1,000       X     28-12020     1000     0           0
PIMCO STRATEGIC GBL GOV FD I   COM            72200X104         12,675       1,690       X     28-12020     1690     0           0
PINNACLE ENTMT INC             COM            723456109         66,880       9,500       X     28-4635         0     0        9500
PINNACLE FINL PARTNERS INC     COM            72346Q104      1,754,303      73,990       X     28-4635         0     0       73990
PINNACLE FINL PARTNERS INC     COM            72346Q104      3,142,000     132,511       X     28-12020   132511     0           0
PINNACLE WEST CAP CORP         COM            723484101        117,422       4,421       X     28-4635         0     0        4421







                                                                                                                  FILE NO. 28-1235
PAGE 301 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                      ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
PINNACLE WEST CAP CORP         COM            723484101        227,125       8,539       X     28-12020     8539     0           0
PIONEER DRILLING CO            COM            723655106              0         132       X     28-12020      132     0           0
PIONEER NAT RES CO             COM            723787107         83,157       5,049       X     28-4635         0     0        5049
PIONEER NAT RES CO             COM            723787107        159,744       9,708       X     28-12020     8352     0        1356
PIONEER SOUTHWST ENRG P RTNR   UNIT LP INT    72388B106        113,400       7,200       X     28-12020     7200     0           0
PIPER JAFFRAY COS              COM            724078100         33,094       1,290       X     28-12020     1188     0         102
PITNEY BOWES INC               COM            724479100        318,144      13,625       X     28-4635         0     0       13625
PITNEY BOWES INC               COM            724479100     20,290,972     868,975       X     28-12020   850229     0       18746
PITTSBURGH & W VA RR           SH BEN INT     724819107         22,554       2,100       X     28-12020     2100     0           0
PLAINS ALL AMERN PIPELI NE L   UNIT LTD PARTN 726503105        140,975       3,835       X     28-12020     3835     0           0
PLAINS EXPL& PRODTN CO         COM            726505100         29,825       1,731       X     28-4635         0     0        1731
PLAINS EXPL& PRODTN CO         COM            726505100         26,293       1,541       X     28-12020     1541     0           0
PLANTRONICS INC NEW            COM            727493108         45,175       3,703       X     28-12020     1203     0        2500
PLATINUM UNDERWRITER HL DGS L  COM            G7127P100      1,745,558      61,550       X     28-4635         0     0       61550
PLATINUM UNDERWRITER HL DGS L  COM            G7127P100        976,000      34,424       X     28-12020    34424     0           0
PLEXUS CORP                    COM            729132100         89,830       6,500       X     28-4635         0     0        6500
PLEXUS CORP                    COM            729132100        261,000      18,876       X     28-12020    18876     0           0
PLUG POWER INC                 COM            72919P103             87         100       X     28-12020      100     0           0
PLUM CREEK TIMBER CO IN C      COM            729251108        241,078       8,293       X     28-4635         0     0        8293
PLUM CREEK TIMBER CO IN C      COM            729251108        667,962      22,961       X     28-12020    21533     0        1428
PMA CAP CORP                   CL A           693419202         10,362       2,485       X     28-12020     2485     0           0
PMC-SIERRA INC                 COM            69344F106         96,187      15,100       X     28-4635         0     0       15100
PMC-SIERRA INC                 COM            69344F106         57,000       9,017       X     28-12020     9017     0           0
PMI GROUP INC                  COM            69344M101          1,000       2,271       X     28-12020     2271     0           0
PNC FINL SVCS GROUP INC        COM            693475105      6,351,712     216,856       X     28-4635         0     0      216856
PNC FINL SVCS GROUP INC        COM            693475105     23,636,139     806,953       X     28-12020   617512     0      189441
PNM RES INC                    COM            69349H107         28,910       3,500       X     28-4635         0     0        3500
PNM RES INC                    COM            69349H107         10,022       1,195       X     28-12020     1195     0           0
POLARIS INDS INC               COM            731068102         12,432         574       X     28-12020      574     0           0
POLO RALPH LAUREN CORP         CL A           731572103        242,473       5,739       X     28-4635         0     0        5739
POLO RALPH LAUREN CORP         CL A           731572103        141,225       3,343       X     28-12020     3343     0           0
POLYCOM INC                    COM            73172K104        156,978      10,200       X     28-4635         0     0       10200
POLYCOM INC                    COM            73172K104         13,000         868       X     28-12020      868     0           0
POLYONE CORP                   COM            73179P106         12,395       5,474       X     28-12020     5474     0           0
POOL CORPORATION               COM            73278L105         24,100       1,775       X     28-12020     1775     0           0
POPULAR INC                    COM            733174106          7,000       3,028       X     28-12020     3028     0           0
PORTER BANCORP INC             COM            736233107        113,867      10,050       X     28-12020    10050     0           0
PORTFOLIO RECOVERY ASSO CS IN  COM            73640Q105      2,222,084      82,790       X     28-4635         0     0       82790
PORTFOLIO RECOVERY ASSO CS IN  COM            73640Q105      4,079,000     151,977       X     28-12020   151977     0           0
PORTLAND GEN ELEC CO           COM NEW        736508847        184,695      10,500       X     28-4635         0     0       10500
PORTLAND GEN ELEC CO           COM NEW        736508847        522,000      29,674       X     28-12020    29674     0           0
POSCO                          SPONSORED ADR  693483109         85,208       1,275       X     28-4635         0     0        1275
POST PPTYS INC                 COM            737464107          8,042         769       X     28-12020      769     0           0
POTASH CORP SASK INC           COM            73755L107          1,616          20       X     28-4635         0     0          20
POTASH CORP SASK INC           COM            73755L107      1,410,547      17,461       X     28-12020    17461     0           0
POTLATCH CORP NEW              COM            737630103        411,623      17,750       X     28-4635         0     0       17750
POTLATCH CORP NEW              COM            737630103        574,000      24,773       X     28-12020    24773     0           0
POWELL INDS INC                COM            739128106         17,544         504       X     28-12020      504     0           0
POWER INTEGRATIONS INC         COM            739276103          1,000          78       X     28-12020       78     0           0
POWERSHARES DB CMDTY ID X TRA  UNIT BEN INT   73935S105      4,852,020     242,601       X     28-4635         0     0      242601
POWERSHARES DB CMDTY ID X TRA  UNIT BEN INT   73935S105         50,120       2,506       X     28-12020     2506     0           0







                                                                                                                  FILE NO. 28-1235
PAGE 302 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                      ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
POWERSHARES ETF TRUST          WILDERHILL PRO 73935X161          8,659         615       X     28-12020      615     0           0
POWERSHARES ETF TRUST          PRVT EQTY PORT 73935X195          6,407       1,180       X     28-12020     1180     0           0
POWERSHARES ETF TRUST          CLEANTECH PORT 73935X278         96,639       5,958       X     28-12020     5958     0           0
POWERSHARES ETF TRUST          FINL SECT PORT 73935X377         10,021         723       X     28-12020      723     0           0
POWERSHARES ETF TRUST          WNDRHLL CLN EN 73935X500        173,554      22,836       X     28-12020    22836     0           0
POWERSHARES ETF TRUST          WATER RESOURCE 73935X575         25,113       2,105       X     28-12020     2105     0           0
POWERSHARES ETF TRUST          DYNM LRG CP GR 73935X609         18,186       1,752       X     28-12020     1752     0           0
POWERSHARES ETF TRUST          DYNM LRG CP VL 73935X708         11,203         902       X     28-12020      902     0           0
POWERSHARES ETF TRUST          INTL DIV ACHV  73935X716          3,978         451       X     28-12020      451     0           0
POWERSHARES GLOBAL ETF TRUST   GBL CLEAN ENER 73936T466          7,614         705       X     28-12020      705     0           0
POWERSHARES GLOBAL ETF TRUST   GBL WTR PORT   73936T623          5,520         500       X     28-12020      500     0           0
POWERSHARES QQQ TRUST          UNIT SER 1     73935A104      1,189,241      39,223       X     28-12020    39223     0           0
POWERSHS DB MULTI SECT COMM    DB AGRICULT FD 73936B408         35,021       1,430       X     28-12020     1430     0           0
POWERSHS DB MULTI SECT COMM    DB BASE METALS 73936B705          2,638         200       X     28-12020      200     0           0
POWERWAVE TECHNOLOGIES INC     COM            739363109          4,513       7,699       X     28-12020     1785     0        5914
POZEN INC                      COM            73941U102          4,000         725       X     28-12020      725     0           0
PPG INDS INC                   COM            693506107        285,458       7,736       X     28-4635         0     0        7736
PPG INDS INC                   COM            693506107      9,118,245     247,097       X     28-12020   226052     0       21045
PPL CORP                       COM            69351T106        728,057      25,359       X     28-4635         0     0       25359
PPL CORP                       COM            69351T106        967,307      33,707       X     28-12020    31407     0        2300
PRAXAIR INC                    COM            74005P104      6,980,261     103,734       X     28-4635         0     0      103734
PRAXAIR INC                    COM            74005P104     34,257,308     509,098       X     28-12020   500647     0        8451
PRE PAID LEGAL SVCS INC        COM            740065107        153,859       5,300       X     28-4635         0     0        5300
PRE PAID LEGAL SVCS INC        COM            740065107        401,000      13,800       X     28-12020    13800     0           0
PRECISION CASTPARTS COR P      COM            740189105        739,705      12,349       X     28-4635         0     0       12349
PRECISION CASTPARTS COR P      COM            740189105      1,074,183      17,941       X     28-12020    17848     0          93
PRECISION DRILLING TR          TR UNIT        740215108          6,700       2,500       X     28-12020     2500     0           0
PREFORMED LINE PRODS CO        COM            740444104      3,433,805      91,228       X     28-12020    91228     0           0
PREMIERE GLOBAL SVCS IN C      COM            740585104        216,972      24,600       X     28-4635         0     0       24600
PREMIERE GLOBAL SVCS IN C      COM            740585104         15,000       1,649       X     28-12020     1649     0           0
PRESIDENTIAL LIFE CORP         COM            740884101          4,000         536       X     28-12020      536     0           0
PRESTIGE BRANDS HLDGS I N C    COM            74112D101        338,772      65,400       X     28-4635         0     0       65400
PRESTIGE BRANDS HLDGS I N C    COM            74112D101        128,000      24,745       X     28-12020    24745     0           0
PRG-SCHULTZ INTERNATION AL IN  COM NEW        69357C503          3,000       1,051       X     28-12020     1051     0           0
PRICE T ROWE GROUP INC         COM            74144T108        534,545      18,522       X     28-4635         0     0       18522
PRICE T ROWE GROUP INC         COM            74144T108        867,450      30,054       X     28-12020    29804     0         250
PRICELINE COM INC              COM NEW        741503403        127,230       1,615       X     28-4635         0     0        1615
PRICELINE COM INC              COM NEW        741503403         75,174         958       X     28-12020      756     0         202
PRICESMART INC                 COM            741511109         10,806         600       X     28-4635         0     0         600
PRICESMART INC                 COM            741511109        983,000      54,585       X     28-12020    54585     0           0
PRIDE INTL INC DEL             COM            74153Q102         64,962       3,613       X     28-4635         0     0        3613
PRIDE INTL INC DEL             COM            74153Q102         38,000       2,128       X     28-12020     2128     0           0
PRIMUS GUARANTY LTD            SHS            G72457107         11,850       7,693       X     28-12020     7693     0           0
PRINCIPAL FINANCIAL GRO UP IN  COM            74251V102         91,641      11,203       X     28-4635         0     0       11203
PRINCIPAL FINANCIAL GRO UP IN  COM            74251V102      1,252,907     153,131       X     28-12020   150273     0        2858
PROASSURANCE CORP              COM            74267C106         22,000         476       X     28-12020      476     0           0
PROCTER & GAMBLE CO            COM            742718109     12,454,222     264,477       X     28-4635         0     0      264477
PROCTER & GAMBLE CO            COM            742718109    231,436,887   4,914,780       X     28-12020  4657628     0      257152
PROCTER & GAMBLE CO            COM            742718109     19,085,500     121,000       X     28-12020   120700     0         300
PROGENICS PHARMACEUTICA LS IN  COM            743187106         23,725       3,629       X     28-12020     3629     0           0
PROGRESS ENERGY INC            COM            743263105        437,912      12,077       X     28-4635         0     0       12077







                                                                                                                  FILE NO. 28-1235
PAGE 303 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                      ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
PROGRESS ENERGY INC            COM            743263105      1,163,788      32,095       X     28-12020    28967     0        3128
PROGRESS SOFTWARE CORP         COM            743312100        383,476      22,073       X     28-12020    22073     0           0
PROGRESSIVE CORP OHIO          COM            743315103        398,966      29,685       X     28-4635         0     0       29685
PROGRESSIVE CORP OHIO          COM            743315103     23,573,588   1,754,037       X     28-12020  1663867     0       90170
PROLOGIS                       SH BEN INT     743410102         76,206      11,724       X     28-4635         0     0       11724
PROLOGIS                       SH BEN INT     743410102         98,972      15,274       X     28-12020    15274     0           0
PROSHARES TR                   PSHS ULT
                               S&P 500        74347R107        333,437      16,900       X     28-12020    16900     0           0
PROSHARES TR                   PSHS ULTSH
                               20YRS          74347R297        218,200       5,000       X     28-12020        0     0        5000
PROSHARES TR                   PSHS SHRT
                               S&P500         74347R503         20,423         261       X     28-12020      261     0           0
PROSHARES TR                   PSHS ULTRA
                               FINL           74347R743         14,408       5,520       X     28-12020     5520     0           0
PROSHARES TR                   PSHS ULSHT
                               SP500          74347R883         23,790         300       X     28-12020      300     0           0
PROSPECT CAPITAL CORPOR ATION  COM            74348T102        131,000      15,427       X     28-12020    15427     0           0
PROSPERITY BANCSHARES I N C    COM            743606105      1,308,698      47,850       X     28-4635         0     0       47850
PROSPERITY BANCSHARES I N C    COM            743606105      2,507,555      91,685       X     28-12020    91685     0           0
PROTALIX BIOTHERAPEUTIC S INC  COM            74365A101          2,000       1,177       X     28-12020     1177     0           0
PROTECTIVE LIFE CORP           COM            743674103          4,000         699       X     28-12020      699     0           0
PROVIDENCE SVC CORP            COM            743815102          1,000         156       X     28-12020      156     0           0
PROVIDENT ENERGY TR            TR UNIT        74386K104         27,900       7,500       X     28-12020     5500     0        2000
PROVIDENT FINL SVCS INC        COM            74386T105         15,000       1,363       X     28-12020     1363     0           0
PROVIDENT NEW YORK BANC ORP    COM            744028101         23,221       2,687       X     28-12020     2687     0           0
PRUDENTIAL FINL INC            COM            744320102        412,239      21,674       X     28-4635         0     0       21674
PRUDENTIAL FINL INC            COM            744320102        580,619      30,548       X     28-12020    30273     0         275
PRUDENTIAL PLC                 ADR            74435K204          6,044         613       X     28-12020      613     0           0
PS BUSINESS PKS INC CAL IF     COM            69360J107        337,178       9,150       X     28-4635         0     0        9150
PS BUSINESS PKS INC CAL IF     COM            69360J107      1,499,000      40,667       X     28-12020    40667     0           0
PSS WORLD MED INC              COM            69366A100        281,260      19,600       X     28-4635         0     0       19600
PSS WORLD MED INC              COM            69366A100          8,000         588       X     28-12020      588     0           0
PSYCHIATRIC SOLUTIONS I N C    COM            74439H108         25,225       1,619       X     28-12020     1619     0           0
PUBLIC STORAGE                 COM            74460D109        303,212       5,488       X     28-4635         0     0        5488
PUBLIC STORAGE                 COM            74460D109        546,507       9,893       X     28-12020     9893     0           0
PUBLIC SVC ENTERPRISE G ROUP   COM            744573106      1,417,389      48,096       X     28-4635         0     0       48096
PUBLIC SVC ENTERPRISE G ROUP   COM            744573106      1,568,394      53,214       X     28-12020    52442     0         772
PULASKI FINL CORP              COM            745548107          9,500       1,900       X     28-12020     1900     0           0
PULTE HOMES INC                COM            745867101        190,860      17,462       X     28-4635         0     0       17462
PULTE HOMES INC                COM            745867101        183,405      16,762       X     28-12020    15664     0        1098
PUTMAN HIGH INCOME SEC FUND    SHS BEN INT    746779107          3,180         600       X     28-12020      600     0           0
PUTNAM MANAGED MUN INCO M TR   COM            746823103          9,266       1,697       X     28-12020     1697     0           0
PUTNAM PREMIER INCOME T R      SH BEN INT     746853100         42,400      10,000       X     28-12020    10000     0           0
PVF CAPITAL CORP               COM            693654105        240,505     103,221       X     28-12020   103221     0           0
QAD INC                        COM            74727D108          2,000         954       X     28-12020      954     0           0
QIAGEN N V                     ORD            N72482107        473,182      29,648       X     28-4635         0     0       29648
QIAGEN N V                     ORD            N72482107        808,000      50,632       X     28-12020    50632     0           0
QIAO XING UNIVERSAL TEL EPHON  ORD            G7303A109          1,230       1,000       X     28-12020     1000     0           0
QLOGIC CORP                    COM            747277101        382,684      34,414       X     28-4635         0     0       34414
QLOGIC CORP                    COM            747277101        400,967      36,081       X     28-12020    36081     0           0
QUALCOMM INC                   COM            747525103     19,601,925     503,776       X     28-4635         0     0      503776
QUALCOMM INC                   COM            747525103    108,846,340   2,797,387       X     28-12020  2728937     0       68450
QUALITY SYS INC                COM            747582104        165,325       3,660       X     28-12020     3660     0           0
QUANEX BUILDING PRODUCT S COR  COM            747619104         12,160       1,600       X     28-4635         0     0        1600
QUANEX BUILDING PRODUCT S COR  COM            747619104          3,000         397       X     28-12020      397     0           0
QUANTA SVCS INC                COM            74762E102        270,185      12,596       X     28-4635         0     0       12596







                                                                                                                  FILE NO. 28-1235
PAGE 304 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                      ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
QUANTA SVCS INC                COM            74762E102     34,962,954   1,629,953       X     28-12020  1587022     0       42931
QUANTUM CORP                   COM DSSG       747906204              0         387       X     28-12020      387     0           0
QUANTUM FUEL SYS TECH W ORLDW  COM            74765E109          3,000       3,967       X     28-12020     3967     0           0
QUEST DIAGNOSTICS INC          COM            74834L100        700,045      14,744       X     28-4635         0     0       14744
QUEST DIAGNOSTICS INC          COM            74834L100        916,406      19,310       X     28-12020    19086     0         224
QUEST SOFTWARE INC             COM            74834T103        191,468      15,100       X     28-4635         0     0       15100
QUEST SOFTWARE INC             COM            74834T103         20,000       1,591       X     28-12020     1591     0           0
QUESTAR CORP                   COM            748356102        296,772      10,084       X     28-4635         0     0       10084
QUESTAR CORP                   COM            748356102      2,508,323      85,235       X     28-12020    81235     0        4000
QUESTCOR PHARMACEUTICAL S INC  COM            74835Y101         90,000      18,379       X     28-12020    18379     0           0
QUICKSILVER GAS SVCS LP        COM UNITS LPI  74839G106          1,988         150       X     28-12020      150     0           0
QUICKSILVER RESOURCES I N C    COM            74837R104         77,854      14,053       X     28-4635         0     0       14053
QUICKSILVER RESOURCES I N C    COM            74837R104          8,000       1,390       X     28-12020     1390     0           0
QUIDEL CORP                    COM            74838J101          7,000         783       X     28-12020      783     0           0
QWEST COMMUNICATIONS IN TL IN  COM            749121109        220,611      64,506       X     28-4635         0     0       64506
QWEST COMMUNICATIONS IN TL IN  COM            749121109        336,345      98,312       X     28-12020    97496     0         816
RACKABLE SYS INC               COM            750077109         26,390       6,500       X     28-4635         0     0        6500
RADIAN GROUP INC               COM            750236101         69,520      37,973       X     28-12020    37973     0           0
RADIANT SYSTEMS INC            COM            75025N102              0          15       X     28-12020       15     0           0
RADIO ONE INC                  CL A           75040P108         38,850      74,000       X     28-12020    74000     0           0
RADIOSHACK CORP                COM            750438103         84,740       9,888       X     28-4635         0     0        9888
RADIOSHACK CORP                COM            750438103         64,763       7,501       X     28-12020     7501     0           0
RADVISION LTD                  ORD            M81869105         25,475       5,100       X     28-4635         0     0        5100
RADWARE LTD                    ORD            M81873107          5,820       1,000       X     28-12020        0     0        1000
RAIT FINANCIAL TRUST           COM            749227104          3,915       3,088       X     28-12020     3088     0           0
RALCORP HLDGS INC NEW          COM            751028101        557,658      10,350       X     28-4635         0     0       10350
RALCORP HLDGS INC NEW          COM            751028101      1,158,130      21,487       X     28-12020    17498     0        3989
RAMBUS INC DEL                 COM            750917106          3,128         331       X     28-4635         0     0         331
RAMBUS INC DEL                 COM            750917106         11,000       1,170       X     28-12020     1170     0           0
RAMCO-GERSHENSON PPTYS TR      COM SH BEN INT 751452202              0          41       X     28-12020       41     0           0
RANGE RES CORP                 COM            75281A109        464,573      11,287       X     28-4635         0     0       11287
RANGE RES CORP                 COM            75281A109        525,843      12,781       X     28-12020    12781     0           0
RAVEN INDS INC                 COM            754212108          3,574         172       X     28-12020      172     0           0
RAYMOND JAMES FINANCIAL INC    COM            754730109         94,560       4,800       X     28-4635         0     0        4800
RAYMOND JAMES FINANCIAL INC    COM            754730109         46,262       2,362       X     28-12020     2362     0           0
RAYONIER INC                   COM            754907103        220,350       7,304       X     28-12020     7304     0           0
RAYTHEON CO                    COM NEW        755111507      1,003,601      25,773       X     28-4635         0     0       25773
RAYTHEON CO                    COM NEW        755111507     10,476,590     269,047       X     28-12020   265985     0        3062
RBC BEARINGS INC               COM            75524B104          7,000         485       X     28-12020      485     0           0
RC2 CORP                       COM            749388104         13,175       2,500       X     28-4635         0     0        2500
RC2 CORP                       COM            749388104              0           9       X     28-12020        9     0           0
READY MIX INC                  COM            755747102          2,470       1,000       X     28-12020     1000     0           0
REALNETWORKS INC               COM            75605L104          6,000       2,488       X     28-12020     2488     0           0
REALTY INCOME CORP             COM            756109104         30,112       1,600       X     28-4635         0     0        1600
REALTY INCOME CORP             COM            756109104         76,248       4,077       X     28-12020     3377     0         700
REAVES UTIL INCOME FD          COM SH BEN INT 756158101          2,156         200       X     28-12020      200     0           0
RED HAT INC                    COM            756577102        389,982      21,860       X     28-4635         0     0       21860
RED HAT INC                    COM            756577102        450,804      25,260       X     28-12020    25260     0           0
RED ROBIN GOURMET BURGE RS IN  COM            75689M101         91,000       5,159       X     28-12020     5159     0           0
REDDY ICE HLDGS INC            COM            75734R105          1,460         855       X     28-12020      855     0           0
REDWOOD TR INC                 COM            758075402         14,000         888       X     28-12020      888     0           0







                                                                                                                  FILE NO. 28-1235
PAGE 305 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                      ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
REED ELSEVIER N V              SPONS ADR NEW  758204200            321          15       X     28-12020       15     0           0
REGAL BELOIT CORP              COM            758750103      1,839,932      60,050       X     28-4635         0     0       60050
REGAL BELOIT CORP              COM            758750103      3,463,000     113,031       X     28-12020   113031     0           0
REGAL ENTMT GROUP              CL A           758766109         21,000       1,581       X     28-12020     1581     0           0
REGENCY CTRS CORP              COM            758849103         29,000       1,073       X     28-12020     1073     0           0
REGENCY ENERGY PARTNERS L P    COM UNITS L P  75885Y107         56,160       4,500       X     28-12020     4500     0           0
REGENERON PHARMACEUTICA LS     COM            75886F107          8,277         626       X     28-12020      626     0           0
REGIONS FINANCIAL CORP NEW     COM            7591EP100        129,828      30,476       X     28-4635         0     0       30476
REGIONS FINANCIAL CORP NEW     COM            7591EP100        238,585      56,036       X     28-12020    55462     0         574
REGIS CORP MINN                COM            758932107        105,485       7,300       X     28-4635         0     0        7300
REGIS CORP MINN                COM            758932107        301,000      20,829       X     28-12020    20829     0           0
REHABCARE GROUP INC            COM            759148109        132,544       7,600       X     28-4635         0     0        7600
REHABCARE GROUP INC            COM            759148109        375,000      21,513       X     28-12020    21513     0           0
REINSURANCE GROUP AMER INC     COM NEW        759351604      3,235,106      99,868       X     28-12020    99868     0           0
RELIANCE STEEL & ALUMIN UM CO  COM            759509102         30,158       1,129       X     28-12020     1129     0           0
RELIANT ENERGY INC             COM            75952B105         39,003      12,307       X     28-12020    11507     0         800
RENAISSANCERE HOLDINGS LTD     COM            G7496G103          9,888         200       X     28-4635         0     0         200
RENAISSANCERE HOLDINGS LTD     COM            G7496G103         52,000       1,055       X     28-12020     1055     0           0
RENASANT CORP                  COM            75970E107          8,000         617       X     28-12020      617     0           0
RENT A CTR INC NEW             COM            76009N100      1,198,035      61,850       X     28-4635         0     0       61850
RENT A CTR INC NEW             COM            76009N100      1,346,000      69,481       X     28-12020    69481     0           0
REPROS THERAPEUTICS INC        COM            76028H100          5,940       1,000       X     28-12020     1000     0           0
REPUBLIC AWYS HLDGS INC        COM            760276105          6,000         997       X     28-12020      997     0           0
REPUBLIC BANCORP KY            CL A           760281204         97,084       5,200       X     28-4635         0     0        5200
REPUBLIC SVCS INC              COM            760759100        312,627      18,229       X     28-4635         0     0       18229
REPUBLIC SVCS INC              COM            760759100        741,098      43,210       X     28-12020    43210     0           0
RES-CARE INC                   COM            760943100        161,616      11,100       X     28-4635         0     0       11100
RES-CARE INC                   COM            760943100         25,860       1,777       X     28-12020     1777     0           0
RESEARCH IN MOTION LTD         COM            760975102          6,854         159       X     28-4635         0     0         159
RESEARCH IN MOTION LTD         COM            760975102      9,075,821     210,527       X     28-12020   207839     0        2688
RESMED INC                     COM            761152107        116,587       3,299       X     28-4635         0     0        3299
RESMED INC                     COM            761152107         36,000       1,016       X     28-12020     1016     0           0
RESOURCE AMERICA INC           CL A           761195205          4,000         997       X     28-12020      997     0           0
RESOURCES CONNECTION IN C      COM            76122Q105         16,000       1,040       X     28-12020     1040     0           0
REX ENERGY CORPORATION         COM            761565100          2,000         678       X     28-12020      678     0           0
REYNOLDS AMERICAN INC          COM            761713106        287,508       8,022       X     28-4635         0     0        8022
REYNOLDS AMERICAN INC          COM            761713106        382,220      10,667       X     28-12020    10667     0           0
RF MICRODEVICES INC            COM            749941100         30,590      23,000       X     28-12020    23000     0           0
RIGEL PHARMACEUTICALS I N C    COM NEW        766559603          3,000         509       X     28-12020      509     0           0
RIGHTNOW TECHNOLOGIES I N C    COM            76657R106        368,810      48,720       X     28-12020    48720     0           0
RIMAGE CORP                    COM            766721104          8,000         634       X     28-12020      634     0           0
RIO TINTO PLC                  SPONSORED ADR  767204100        137,412       1,025       X     28-4635         0     0        1025
RIO TINTO PLC                  SPONSORED ADR  767204100         83,117         620       X     28-12020      620     0           0
RITCHIE BROS AUCTIONEER S      COM            767744105        247,247      13,300       X     28-12020    13300     0           0
RITE AID CORP                  COM            767754104          2,054       5,705       X     28-12020      300     0        5405
RIVERBED TECHNOLOGY INC        COM            768573107         18,000       1,381       X     28-12020     1381     0           0
RIVUS BOND FUND                COM            769667106         13,770       1,000       X     28-12020        0     0        1000
RLI CORP                       COM            749607107         53,180       1,054       X     28-12020      654     0         400
ROBBINS & MYERS INC            COM            770196103         94,054       6,200       X     28-4635         0     0        6200
ROBBINS & MYERS INC            COM            770196103      2,153,034     141,908       X     28-12020   141908     0           0
ROBERT HALF INTL INC           COM            770323103        202,477      11,356       X     28-4635         0     0       11356







                                                                                                                  FILE NO. 28-1235
PAGE 306 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                      ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
ROBERT HALF INTL INC           COM            770323103      2,182,660     122,443       X     28-12020   122443     0           0
ROCK-TENN CO                   CL A           772739207        100,000       3,685       X     28-12020     3685     0           0
ROCKFORD CORP                  COM            77316P101         25,800      60,000       X     28-12020    60000     0           0
ROCKWELL AUTOMATION INC        COM            773903109        296,238      13,564       X     28-4635         0     0       13564
ROCKWELL AUTOMATION INC        COM            773903109      1,368,369      62,662       X     28-12020    55877     0        6785
ROCKWELL COLLINS INC           COM            774341101        379,766      11,635       X     28-4635         0     0       11635
ROCKWELL COLLINS INC           COM            774341101      1,301,688      39,879       X     28-12020    34169     0        5710
ROCKWOOD HLDGS INC             COM            774415103         15,528       1,902       X     28-12020     1902     0           0
ROFIN SINAR TECHNOLOGIE S INC  COM            775043102        779,563      48,360       X     28-4635         0     0       48360
ROFIN SINAR TECHNOLOGIE S INC  COM            775043102      1,419,000      87,998       X     28-12020    87998     0           0
ROGERS COMMUNICATIONS I N C    CL B           775109200         58,536       2,564       X     28-12020     2564     0           0
ROGERS CORP                    COM            775133101        122,720       6,500       X     28-4635         0     0        6500
ROGERS CORP                    COM            775133101        347,000      18,400       X     28-12020    18400     0           0
ROHM & HAAS CO                 COM            775371107        559,291       7,094       X     28-4635         0     0        7094
ROHM & HAAS CO                 COM            775371107        544,788       6,916       X     28-12020     6916     0           0
ROLLINS INC                    COM            775711104        468,050      27,311       X     28-12020    27311     0           0
ROPER INDS INC NEW             COM            776696106        364,476       8,586       X     28-4635         0     0        8586
ROPER INDS INC NEW             COM            776696106        129,316       3,041       X     28-12020     3041     0           0
ROSETTA RESOURCES INC          COM            777779307          3,000         644       X     28-12020      644     0           0
ROSS STORES INC                COM            778296103        269,531       7,512       X     28-4635         0     0        7512
ROSS STORES INC                COM            778296103         74,418       2,080       X     28-12020     2080     0           0
ROWAN COS INC                  COM            779382100         93,067       7,775       X     28-4635         0     0        7775
ROWAN COS INC                  COM            779382100         72,251       6,017       X     28-12020     6017     0           0
ROYAL BK CDA MONTREAL Q U E    COM            780087102         28,920       1,000       X     28-12020     1000     0           0
ROYAL BK SCOTLAND GROUP PLC    ADR PFD SER P  780097689        145,832      24,034       X     28-12020    23034     0        1000
ROYAL CARIBBEAN CRUISES LTD    COM            V7780T103         15,642       1,908       X     28-12020     1908     0           0
ROYAL DUTCH SHELL PLC          SPON ADR B     780259107        471,468      10,811       X     28-12020     9260     0        1551
ROYAL DUTCH SHELL PLC          SPONS ADR A    780259206        145,304       3,280       X     28-4635         0     0        3280
ROYAL DUTCH SHELL PLC          SPONS ADR A    780259206     10,040,152     226,640       X     28-12020   205910     0       20730
ROYAL GOLD INC                 COM            780287108        284,722       6,083       X     28-12020     6083     0           0
ROYCE VALUE TR INC             COM            780910105          9,051       1,282       X     28-12020     1282     0           0
RPC INC                        COM            749660106         39,315       5,940       X     28-12020     5940     0           0
RPM INTL INC                   COM            749685103         17,440       1,370       X     28-4635         0     0        1370
RPM INTL INC                   COM            749685103        743,255      58,370       X     28-12020    53143     0        5227
RSC HOLDINGS INC               COM            74972L102          2,104         400       X     28-12020      400     0           0
RTI BIOLOGICS INC              COM            74975N105          2,850       1,000       X     28-4635         0     0        1000
RTI BIOLOGICS INC              COM            74975N105            285         100       X     28-12020      100     0           0
RTI INTL METALS INC            COM            74973W107         45,950       3,918       X     28-12020     3918     0           0
RUBY TUESDAY INC               COM            781182100          1,000         369       X     28-12020      369     0           0
RUDDICK CORP                   COM            781258108        424,305      18,900       X     28-4635         0     0       18900
RUDDICK CORP                   COM            781258108        146,000       6,487       X     28-12020     6487     0           0
RUDOLPH TECHNOLOGIES IN C      COM            781270103              0          41       X     28-12020       41     0           0
RURBAN FINL CORP               COM            78176P108        181,700      23,000       X     28-12020    23000     0           0
RUSH ENTERPRISES INC           CL A           781846209          8,000         881       X     28-12020      881     0           0
RYANAIR HLDGS PLC              SPONSORED ADR  783513104          4,622         200       X     28-12020      200     0           0
RYDER SYS INC                  COM            783549108         69,841       2,467       X     28-4635         0     0        2467
RYDER SYS INC                  COM            783549108        119,301       4,220       X     28-12020     4220     0           0
RYDEX ETF TRUST                S&P 500 EQ TRD 78355W106         62,420       2,520       X     28-12020     2520     0           0
RYDEX ETF TRUST                TOP 50 ETF     78355W205         11,232         180       X     28-12020      180     0           0
RYLAND GROUP INC               COM            783764103          8,330         500       X     28-4635         0     0         500
RYLAND GROUP INC               COM            783764103         14,000         813       X     28-12020      813     0           0







                                                                                                                  FILE NO. 28-1235
PAGE 307 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                      ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
S & T BANCORP INC              COM            783859101         32,694       1,542       X     28-12020      142     0        1400
S Y BANCORP INC                COM            785060104      1,151,164      47,373       X     28-12020    47373     0           0
S1 CORPORATION                 COM            78463B101          9,000       1,777       X     28-12020     1777     0           0
SABINE ROYALTY TR              UNIT BEN INT   785688102        116,457       3,300       X     28-4635         0     0        3300
SABINE ROYALTY TR              UNIT BEN INT   785688102        292,000       8,300       X     28-12020     8300     0           0
SAFE BULKERS INC               COM            Y7388L103         22,752       7,200       X     28-4635         0     0        7200
SAFETY INS GROUP INC           COM            78648T100          1,000          40       X     28-12020       40     0           0
SAFEWAY INC                    COM NEW        786514208      7,565,294     374,705       X     28-4635         0     0      374705
SAFEWAY INC                    COM NEW        786514208      5,977,163     296,023       X     28-12020   295253     0         770
SAIA INC                       COM            78709Y105        111,000       9,249       X     28-12020     9249     0           0
SAIC INC                       COM            78390X101        186,700      10,000       X     28-4635         0     0       10000
SAIC INC                       COM            78390X101        104,000       5,550       X     28-12020     5550     0           0
SAKS INC                       COM            79377W108          3,559       1,900       X     28-12020     1900     0           0
SALESFORCE COM INC             COM            79466L302        300,560       9,183       X     28-4635         0     0        9183
SALESFORCE COM INC             COM            79466L302        190,000       5,807       X     28-12020     5807     0           0
SALIX PHARMACEUTICALS I N C    COM            795435106          1,988         192       X     28-12020      192     0           0
SALLY BEAUTY HLDGS INC         COM            79546E104         55,624       9,756       X     28-12020     9756     0           0
SAN JUAN BASIN RTY TR          UNIT BEN INT   798241105        198,631      13,900       X     28-4635         0     0       13900
SAN JUAN BASIN RTY TR          UNIT BEN INT   798241105        288,755      20,252       X     28-12020    19452     0         800
SANDERSON FARMS INC            COM            800013104         15,000         388       X     28-12020      388     0           0
SANDISK CORP                   COM            80004C101        235,290      18,600       X     28-4635         0     0       18600
SANDISK CORP                   COM            80004C101        171,650      13,550       X     28-12020    13550     0           0
SANDY SPRING BANCORP IN C      COM            800363103          6,696         600       X     28-4635         0     0         600
SANDY SPRING BANCORP IN C      COM            800363103          5,000         455       X     28-12020      455     0           0
SANGAMO BIOSCIENCES INC        COM            800677106         57,105      13,500       X     28-12020    13500     0           0
SANMINA SCI CORP               COM            800907107          3,000      10,821       X     28-12020    10821     0           0
SANOFI AVENTIS                 SPONSORED ADR  80105N105          6,536         234       X     28-4635         0     0         234
SANOFI AVENTIS                 SPONSORED ADR  80105N105        114,317       4,093       X     28-12020     2518     0        1575
SANTARUS INC                   COM            802817304         20,286      12,600       X     28-4635         0     0       12600
SAP AKTIENGESELLSCHAFT         SPONSORED ADR  803054204        924,316      26,192       X     28-4635         0     0       26192
SAP AKTIENGESELLSCHAFT         SPONSORED ADR  803054204      1,289,565      36,542       X     28-12020    36542     0           0
SAPIENT CORP                   COM            803062108          9,000       2,015       X     28-12020     2015     0           0
SARA LEE CORP                  COM            803111103      2,664,251     329,734       X     28-4635         0     0      329734
SARA LEE CORP                  COM            803111103      8,352,835   1,033,826       X     28-12020  1033826     0           0
SASOL LTD                      SPONSORED ADR  803866300         25,013         864       X     28-12020      864     0           0
SATYAM COMPUTER SERVICE S LTD  ADR            804098101             80          51       X     28-12020       51     0           0
SAUER-DANFOSS INC              COM            804137107          9,516       3,900       X     28-4635         0     0        3900
SAUL CTRS INC                  COM            804395101          5,949         259       X     28-12020      259     0           0
SAVIENT PHARMACEUTICALS INC    COM            80517Q100          3,000         557       X     28-12020      557     0           0
SAVVIS INC                     COM NEW        805423308              0          72       X     28-12020       72     0           0
SBA COMMUNICATIONS CORP        COM            78388J106        175,286       7,523       X     28-4635         0     0        7523
SBA COMMUNICATIONS CORP        COM            78388J106         38,000       1,641       X     28-12020     1641     0           0
SCANA CORP NEW                 COM            80589M102        164,149       5,314       X     28-4635         0     0        5314
SCANA CORP NEW                 COM            80589M102        541,264      17,533       X     28-12020    16333     0        1200
SCANSOURCE INC                 COM            806037107        185,800      10,000       X     28-4635         0     0       10000
SCANSOURCE INC                 COM            806037107         98,000       5,252       X     28-12020     5252     0           0
SCBT FINANCIAL CORP            COM            78401V102          7,000         357       X     28-12020      357     0           0
SCHEIN HENRY INC               COM            806407102         96,656       2,417       X     28-4635         0     0        2417
SCHEIN HENRY INC               COM            806407102         59,997       1,490       X     28-12020     1490     0           0
SCHERING PLOUGH CORP           COM            806605101      2,865,988     121,698       X     28-4635         0     0      121698
SCHERING PLOUGH CORP           COM            806605101     18,515,472     786,239       X     28-12020   757047     0       29192







                                                                                                                  FILE NO. 28-1235
PAGE 308 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                      ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
SCHLUMBERGER LTD               COM            806857108     11,539,248     284,078       X     28-4635         0     0      284078
SCHLUMBERGER LTD               COM            806857108     40,326,704     992,779       X     28-12020   967729     0       25050
SCHNITZER STL INDS             CL A           806882106         10,704         341       X     28-4635         0     0         341
SCHNITZER STL INDS             CL A           806882106         10,000         310       X     28-12020      310     0           0
SCHOLASTIC CORP                COM            807066105         11,000         734       X     28-12020      734     0           0
SCHOOL SPECIALTY INC           COM            807863105        117,853       6,700       X     28-4635         0     0        6700
SCHOOL SPECIALTY INC           COM            807863105        334,000      18,963       X     28-12020    18963     0           0
SCHULMAN A INC                 COM            808194104          9,000         698       X     28-12020      698     0           0
SCHWAB CHARLES CORP NEW        COM            808513105      1,722,469     111,127       X     28-4635         0     0      111127
SCHWAB CHARLES CORP NEW        COM            808513105      1,412,230      91,103       X     28-12020    88072     0        3031
SCHWEITZER-MAUDUIT INTL INC    COM            808541106              0           8       X     28-12020        8     0           0
SCIENTIFIC GAMES CORP          CL A           80874P109         32,636       2,695       X     28-4635         0     0        2695
SCIENTIFIC GAMES CORP          CL A           80874P109         14,000       1,120       X     28-12020     1120     0           0
SCOTTS MIRACLE GRO CO          CL A           810186106      5,295,472     152,604       X     28-12020   150104     0        2500
SCRIPPS E W CO OHIO            CL A NEW       811054402         13,461       9,782       X     28-12020     9782     0           0
SCRIPPS NETWORKS INTERA CT IN  CL A COM       811065101         88,464       3,930       X     28-4635         0     0        3930
SCRIPPS NETWORKS INTERA CT IN  CL A COM       811065101        557,836      24,773       X     28-12020    24773     0           0
SEABOARD CORP                  COM            811543107         10,000          10       X     28-12020       10     0           0
SEABRIGHT INSURANCE HLD GS IN  COM            811656107         80,000       7,669       X     28-12020     7669     0           0
SEACOAST BKG CORP FLA          COM            811707306         39,823      13,143       X     28-12020    13143     0           0
SEACOR HOLDINGS INC            COM            811904101         36,794         631       X     28-4635         0     0         631
SEACOR HOLDINGS INC            COM            811904101         25,000         434       X     28-12020      434     0           0
SEAGATE TECHNOLOGY             SHS            G7945J104          8,534       1,420       X     28-4635         0     0        1420
SEAGATE TECHNOLOGY             SHS            G7945J104        164,854      27,494       X     28-12020    24948     0        2546
SEALED AIR CORP NEW            COM            81211K100         95,151       6,895       X     28-4635         0     0        6895
SEALED AIR CORP NEW            COM            81211K100        161,451      11,733       X     28-12020    11733     0           0
SEALY CORP                     COM            812139301              0         256       X     28-12020      256     0           0
SEARS HLDGS CORP               COM            812350106        115,646       2,530       X     28-4635         0     0        2530
SEARS HLDGS CORP               COM            812350106        182,392       3,985       X     28-12020     3985     0           0
SEASPAN CORP                   SHS            Y75638109         25,482       3,100       X     28-12020     3000     0         100
SEATTLE GENETICS INC           COM            812578102          1,000         152       X     28-12020      152     0           0
SEI INVESTMENTS CO             COM            784117103        403,748      33,067       X     28-4635         0     0       33067
SEI INVESTMENTS CO             COM            784117103        229,420      18,788       X     28-12020    18788     0           0
SELECT COMFORT CORP            COM            81616X103            878       1,220       X     28-12020     1220     0           0
SELECT SECTOR SPDR TR          SBI MATERIALS  81369Y100        141,700       6,380       X     28-4635         0     0        6380
SELECT SECTOR SPDR TR          SBI MATERIALS  81369Y100     55,348,790   2,492,055       X     28-12020  2425233     0       66822
SELECT SECTOR SPDR TR          SBI HEALTHCARE 81369Y209         29,052       1,200       X     28-12020     1200     0           0
SELECT SECTOR SPDR TR          SBI CONS STPLS 81369Y308         84,400       4,000       X     28-12020     4000     0           0
SELECT SECTOR SPDR TR          SBI CONS DISCR 81369Y407        102,180       5,200       X     28-12020     5200     0           0
SELECT SECTOR SPDR TR          SBI INT-ENERGY 81369Y506        200,751       4,728       X     28-12020     4178     0         550
SELECT SECTOR SPDR TR          SBI INT-FINL   81369Y605        117,208      13,304       X     28-12020    11504     0        1800
SELECT SECTOR SPDR TR          SBI INT-INDS   81369Y704         40,362       2,190       X     28-4635         0     0        2190
SELECT SECTOR SPDR TR          SBI INT-INDS   81369Y704     27,213,023   1,476,576       X     28-12020  1431858     0       44718
SELECT SECTOR SPDR TR          SBI INT-TECH   81369Y803        440,968      28,231       X     28-12020    28231     0           0
SELECT SECTOR SPDR TR          SBI INT-UTILS  81369Y886        255,322       9,993       X     28-12020     9343     0         650
SELECTIVE INS GROUP INC        COM            816300107        298,528      24,550       X     28-4635         0     0       24550
SELECTIVE INS GROUP INC        COM            816300107        416,611      34,250       X     28-12020    34250     0           0
SELIGMAN SELECT MUN FD INC     COM            816344105         99,998       9,891       X     28-12020     9891     0           0
SEMITOOL INC                   COM            816909105          1,390         500       X     28-12020        0     0         500
SEMPRA ENERGY                  COM            816851109        508,409      10,995       X     28-4635         0     0       10995
SEMPRA ENERGY                  COM            816851109        916,162      19,811       X     28-12020    18560     0        1251







                                                                                                                  FILE NO. 28-1235
PAGE 309 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                      ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
SEMTECH CORP                   COM            816850101         77,430       5,800       X     28-4635         0     0        5800
SEMTECH CORP                   COM            816850101         20,000       1,499       X     28-12020     1499     0           0
SENIOR HSG PPTYS TR            SH BEN INT     81721M109        239,742      17,100       X     28-4635         0     0       17100
SENIOR HSG PPTYS TR            SH BEN INT     81721M109        791,040      56,445       X     28-12020    56445     0           0
SENSIENT TECHNOLOGIES C ORP    COM            81725T100        640,375      27,250       X     28-4635         0     0       27250
SENSIENT TECHNOLOGIES C ORP    COM            81725T100        994,767      42,315       X     28-12020    39176     0        3139
SEPRACOR INC                   COM            817315104         69,488       4,740       X     28-4635         0     0        4740
SEPRACOR INC                   COM            817315104         31,000       2,095       X     28-12020     2095     0           0
SEQUENOM INC                   COM NEW        817337405          8,000         538       X     28-12020      538     0           0
SERVICE CORP INTL              COM            817565104         93,780      26,917       X     28-12020     4917     0       22000
SHANDA INTERACTIVE ENTM T LTD  SPONSORED ADR  81941Q203         15,812         400       X     28-4635         0     0         400
SHANDA INTERACTIVE ENTM T LTD  SPONSORED ADR  81941Q203      1,083,000      27,400       X     28-12020    27400     0           0
SHAW COMMUNICATIONS INC        CL B CONV      82028K200          3,788         250       X     28-12020      250     0           0
SHAW GROUP INC                 COM            820280105      1,075,897      39,252       X     28-4635         0     0       39252
SHAW GROUP INC                 COM            820280105      1,719,410      62,718       X     28-12020    62718     0           0
SHENANDOAH TELECOMMUNIC ATION  COM            82312B106         14,000         601       X     28-12020      601     0           0
SHERWIN WILLIAMS CO            COM            824348106        350,382       6,742       X     28-4635         0     0        6742
SHERWIN WILLIAMS CO            COM            824348106      2,022,291      38,910       X     28-12020    38142     0         768
SHINHAN FINANCIAL GROUP CO L   SPN ADR RESTRD 824596100         18,005         500       X     28-4635         0     0         500
SHINHAN FINANCIAL GROUP CO L   SPN ADR RESTRD 824596100            216           6       X     28-12020        6     0           0
SHIP FINANCE INTERNATIO NAL L  SHS            G81075106         16,997       2,667       X     28-12020     2667     0           0
SHORETEL INC                   COM            825211105          1,293         300       X     28-12020      300     0           0
SHUFFLE MASTER INC             COM            825549108          2,000         724       X     28-12020      724     0           0
SIEMENS A G                    SPONSORED ADR  826197501        183,728       3,225       X     28-4635         0     0        3225
SIEMENS A G                    SPONSORED ADR  826197501        164,872       2,894       X     28-12020     2194     0         700
SIERRA BANCORP                 COM            82620P102          8,865         873       X     28-12020      873     0           0
SIFCO INDS INC                 COM            826546103         10,440       1,800       X     28-12020     1800     0           0
SIGMA ALDRICH CORP             COM            826552101        610,195      16,147       X     28-4635         0     0       16147
SIGMA ALDRICH CORP             COM            826552101      3,865,045     102,269       X     28-12020   102269     0           0
SIGMA DESIGNS INC              COM            826565103         13,995       1,125       X     28-4635         0     0        1125
SIGMA DESIGNS INC              COM            826565103      1,319,000     106,051       X     28-12020   106051     0           0
SIGNATURE BK NEW YORK N Y      COM            82669G104        313,353      11,100       X     28-4635         0     0       11100
SIGNATURE BK NEW YORK N Y      COM            82669G104        421,000      14,925       X     28-12020    14925     0           0
SIGNET JEWELERS LIMITED        SHS            G81276100          6,000         506       X     28-12020      506     0           0
SILGAN HOLDINGS INC            COM            827048109         94,572       1,800       X     28-4635         0     0        1800
SILGAN HOLDINGS INC            COM            827048109        261,000       4,966       X     28-12020     4966     0           0
SILICON IMAGE INC              COM            82705T102              0         193       X     28-12020      193     0           0
SILICON LABORATORIES IN C      COM            826919102         62,172       2,355       X     28-4635         0     0        2355
SILICON LABORATORIES IN C      COM            826919102         49,000       1,843       X     28-12020     1843     0           0
SILICONWARE PRECISION I NDS L  SPONSD ADR SPL 827084864        117,003      20,173       X     28-4635         0     0       20173
SILVER STD RES INC             COM            82823L106          8,060         500       X     28-12020      500     0           0
SIMMONS 1ST NATL CORP          CL A $1 PAR    828730200         11,000         440       X     28-12020      440     0           0
SIMON PPTY GROUP INC NE W      COM            828806109        613,942      17,723       X     28-4635         0     0       17723
SIMON PPTY GROUP INC NE W      COM            828806109        535,860      15,480       X     28-12020    14968     0         512
SIMPSON MANUFACTURING C O INC  COM            829073105          5,000         286       X     28-12020      286     0           0
SINCLAIR BROADCAST GROU P INC  CL A           829226109          1,545       1,619       X     28-12020     1619     0           0
SINGAPORE FD INC               COM            82929L109         55,647       8,100       X     28-12020     8100     0           0
SIRF TECHNOLOGY HLDGS I N C    COM            82967H101          5,000       2,296       X     28-12020     2296     0           0
SIRIUS XM RADIO INC            COM            82967N108         17,336      49,530       X     28-12020    18630     0       30900
SIRONA DENTAL SYSTEMS I N C    COM            82966C103          6,000         447       X     28-12020      447     0           0
SJW CORP                       COM            784305104        163,580       6,415       X     28-12020      415     0        6000







                                                                                                                  FILE NO. 28-1235
PAGE 310 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                      ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
SK TELECOM LTD                 SPONSORED ADR  78440P108      1,500,195      97,100       X     28-4635         0     0       97100
SKECHERS U S A INC             CL A           830566105          4,000         587       X     28-12020      587     0           0
SKILLSOFT PLC                  SPONSORED ADR  830928107      1,071,651     160,187       X     28-4635         0     0      160187
SKILLSOFT PLC                  SPONSORED ADR  830928107        328,000      49,100       X     28-12020    49100     0           0
SKYWEST INC                    COM            830879102        102,008       8,200       X     28-4635         0     0        8200
SKYWEST INC                    COM            830879102        282,000      22,641       X     28-12020    22641     0           0
SKYWORKS SOLUTIONS INC         COM            83088M102        403,000      50,000       X     28-4635         0     0       50000
SKYWORKS SOLUTIONS INC         COM            83088M102         24,580       3,079       X     28-12020     3079     0           0
SL GREEN RLTY CORP             COM            78440X101         15,240       1,368       X     28-12020     1368     0           0
SLM CORP                       COM            78442P106        165,340      33,402       X     28-4635         0     0       33402
SLM CORP                       COM            78442P106        140,554      28,364       X     28-12020    28364     0           0
SMART MODULAR TECHNOLOG IES I  ORD SHS        G82245104              0         117       X     28-12020      117     0           0
SMITH A O                      COM            831865209         14,518         596       X     28-12020      596     0           0
SMITH INTL INC                 COM            832110100        332,811      15,494       X     28-4635         0     0       15494
SMITH INTL INC                 COM            832110100        273,833      12,768       X     28-12020    12221     0         547
SMITHFIELD FOODS INC           COM            832248108         38,671       4,099       X     28-12020     4099     0           0
SMUCKER J M CO                 COM NEW        832696405        226,341       6,073       X     28-4635         0     0        6073
SMUCKER J M CO                 COM NEW        832696405      7,137,165     191,495       X     28-12020   184440     0        7055
SNAP ON INC                    COM            833034101      1,137,858      45,333       X     28-4635         0     0       45333
SNAP ON INC                    COM            833034101      2,012,550      80,173       X     28-12020    80173     0           0
SOHU COM INC                   COM            83408W103         21,000         518       X     28-12020      518     0           0
SOLERA HOLDINGS INC            COM            83421A104      1,268,736      51,200       X     28-4635         0     0       51200
SOLERA HOLDINGS INC            COM            83421A104        513,000      20,715       X     28-12020    20715     0           0
SOLUTIA INC                    COM NEW        834376501          1,000         694       X     28-12020      694     0           0
SONIC AUTOMOTIVE INC           CL A           83545G102              0         106       X     28-12020      106     0           0
SONIC CORP                     COM            835451105      1,344,584     134,190       X     28-4635         0     0      134190
SONIC CORP                     COM            835451105      2,430,000     242,494       X     28-12020   242494     0           0
SONIC FDRY INC                 COM            83545R108         37,100      53,000       X     28-12020    53000     0           0
SONICWALL INC                  COM            835470105        613,696     137,600       X     28-4635         0     0      137600
SONICWALL INC                  COM            835470105        254,000      56,872       X     28-12020    56872     0           0
SONOCO PRODS CO                COM            835495102          8,392         400       X     28-4635         0     0         400
SONOCO PRODS CO                COM            835495102      1,172,752      55,905       X     28-12020    55905     0           0
SONOSITE INC                   COM            83568G104          6,143         352       X     28-12020      352     0           0
SONUS NETWORKS INC             COM            835916107         10,000       6,565       X     28-12020     6565     0           0
SONY CORP                      ADR NEW        835699307        101,500       4,920       X     28-4635         0     0        4920
SONY CORP                      ADR NEW        835699307         16,422         796       X     28-12020      796     0           0
SOTHEBYS                       COM            835898107          9,000         959       X     28-12020      959     0           0
SOURCE CAP INC                 COM            836144105          5,396         190       X     28-12020      190     0           0
SOUTH FINL GROUP INC           COM            837841105          1,000         788       X     28-12020      788     0           0
SOUTH JERSEY INDS INC          COM            838518108          7,000         200       X     28-4635         0     0         200
SOUTH JERSEY INDS INC          COM            838518108        738,500      21,089       X     28-12020    21089     0           0
SOUTHERN CO                    COM            842587107      1,044,785      34,121       X     28-4635         0     0       34121
SOUTHERN CO                    COM            842587107      4,009,553     130,934       X     28-12020   127309     0        3625
SOUTHERN COPPER CORP           COM            84265V105        149,864       8,603       X     28-4635         0     0        8603
SOUTHERN COPPER CORP           COM            84265V105         71,484       4,132       X     28-12020     4132     0           0
SOUTHERN UN CO NEW             COM            844030106         18,000       1,167       X     28-12020     1167     0           0
SOUTHSIDE BANCSHARES IN C      COM            84470P109        164,000       8,682       X     28-12020     8682     0           0
SOUTHWEST AIRLS CO             COM            844741108        205,693      32,495       X     28-4635         0     0       32495
SOUTHWEST AIRLS CO             COM            844741108      1,604,042     253,339       X     28-12020   244789     0        8550
SOUTHWEST BANCORP INC O KLA    COM            844767103        146,328      15,600       X     28-4635         0     0       15600
SOUTHWEST BANCORP INC O KLA    COM            844767103        393,000      41,893       X     28-12020    41893     0           0







                                                                                                                  FILE NO. 28-1235
PAGE 311 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                      ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
SOUTHWEST GAS CORP             COM            844895102         41,605       1,978       X     28-12020     1978     0           0
SOUTHWEST WTR CO               COM            845331107          6,312       1,468       X     28-12020        0     0        1468
SOUTHWESTERN ENERGY CO         COM            845467109        770,901      25,965       X     28-4635         0     0       25965
SOUTHWESTERN ENERGY CO         COM            845467109        834,297      28,117       X     28-12020    28117     0           0
SOVRAN SELF STORAGE INC        COM            84610H108         23,080       1,150       X     28-12020     1150     0           0
SPAIN FD                       COM            846330108         19,195       4,775       X     28-12020     4775     0           0
SPARTAN STORES INC             COM            846822104        465,382      30,200       X     28-4635         0     0       30200
SPARTAN STORES INC             COM            846822104        180,000      11,690       X     28-12020    11690     0           0
SPARTECH CORP                  COM NEW        847220209         69,222      28,199       X     28-12020    28199     0           0
SPDR GOLD TRUST                GOLD SHS       78463V107        842,131       9,328       X     28-12020     9075     0         253
SPDR SERIES TRUST              BRCLYS INTL
                               ETF            78464A516        159,332       3,115       X     28-12020     3115     0           0
SPDR SERIES TRUST              S&P BIOTECH    78464A870          3,600          75       X     28-12020       75     0           0
SPDR TR                        UNIT SER 1     78462F103      9,497,789     119,439       X     28-4635         0     0      119439
SPDR TR                        UNIT SER 1     78462F103      9,836,075     123,754       X     28-12020   109164     0       14590
SPECTRA ENERGY CORP            COM            847560109        430,789      30,466       X     28-4635         0     0       30466
SPECTRA ENERGY CORP            COM            847560109     13,669,295     966,717       X     28-12020   932795     0       33922
SPEEDWAY MOTORSPORTS IN C      COM            847788106         36,678       3,071       X     28-12020     3071     0           0
SPHERION CORP                  COM            848420105              0          97       X     28-12020       97     0           0
SPIRE CORP                     COM            848565107         18,920       4,000       X     28-12020     4000     0           0
SPIRIT AEROSYSTEMS HLDG S INC  COM CL A       848574109      2,800,706     280,920       X     28-12020   280920     0           0
SPRINT NEXTEL CORP             COM SER 1      852061100        463,832     129,925       X     28-4635         0     0      129925
SPRINT NEXTEL CORP             COM SER 1      852061100        696,080     195,033       X     28-12020   189277     0        5756
SPSS INC                       COM            78462K102          6,000         203       X     28-12020      203     0           0
SPX CORP                       COM            784635104        115,127       2,449       X     28-4635         0     0        2449
SPX CORP                       COM            784635104        190,116       4,054       X     28-12020     4054     0           0
SRA INTL INC                   CL A           78464R105          5,000         353       X     28-12020      353     0           0
SRI/SURGICAL EXPRESS IN C      COM            78464W104          1,000       1,000       X     28-12020        0     0        1000
ST JOE CO                      COM            790148100         41,164       2,459       X     28-4635         0     0        2459
ST JOE CO                      COM            790148100         40,222       2,410       X     28-12020     2410     0           0
ST JUDE MED INC                COM            790849103      1,130,699      31,123       X     28-4635         0     0       31123
ST JUDE MED INC                COM            790849103      1,850,525      50,931       X     28-12020    50014     0         917
ST MARY LD & EXPL CO           COM            792228108         10,000         721       X     28-12020      721     0           0
STAAR SURGICAL CO              COM PAR $0.01  852312305         17,000      17,000       X     28-12020        0     0       17000
STAGE STORES INC               COM NEW        85254C305        192,000      19,031       X     28-12020    19031     0           0
STANCORP FINL GROUP INC        COM            852891100         32,668       1,427       X     28-12020     1427     0           0
STANDARD MICROSYSTEMS C ORP    COM            853626109         14,000         731       X     28-12020      731     0           0
STANDARD PAC CORP NEW          COM            85375C101          3,880       4,615       X     28-12020     3615     0        1000
STANDARD PARKING CORP          COM            853790103          8,000         492       X     28-12020      492     0           0
STANDEX INTL CORP              COM            854231107          1,000          89       X     28-12020       89     0           0
STANLEY INC                    COM            854532108         11,426         450       X     28-4635         0     0         450
STANLEY INC                    COM            854532108      1,153,000      45,423       X     28-12020    45423     0           0
STANLEY WKS                    COM            854616109         99,765       3,426       X     28-4635         0     0        3426
STANLEY WKS                    COM            854616109        175,845       6,055       X     28-12020     5795     0         260
STAPLES INC                    COM            855030102        984,351      54,354       X     28-4635         0     0       54354
STAPLES INC                    COM            855030102     28,685,646   1,584,012       X     28-12020  1537509     0       46503
STARBUCKS CORP                 COM            855244109        630,604      56,760       X     28-4635         0     0       56760
STARBUCKS CORP                 COM            855244109        780,811      70,310       X     28-12020    70310     0           0
STARTEK INC                    COM            85569C107          1,163         375       X     28-12020      375     0           0
STARWOOD HOTELS&RESORTS WRLD   COM            85590A401        172,441      13,578       X     28-4635         0     0       13578
STARWOOD HOTELS&RESORTS WRLD   COM            85590A401        137,769      10,827       X     28-12020    10827     0           0
STATE AUTO FINL CORP           COM            855707105              0           9       X     28-12020        9     0           0







                                                                                                                  FILE NO. 28-1235
PAGE 312 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                      ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
STATE STR CORP                 COM            857477103        723,515      23,506       X     28-4635         0     0       23506
STATE STR CORP                 COM            857477103     39,251,824   1,275,244       X     28-12020  1253505     0       21739
STATOILHYDRO ASA               SPONSORED ADR  85771P102        140,375       8,049       X     28-4635         0     0        8049
STATOILHYDRO ASA               SPONSORED ADR  85771P102         25,672       1,472       X     28-12020     1472     0           0
STEAK N SHAKE CO               COM            857873103          4,921         650       X     28-12020      650     0           0
STEALTHGAS INC                 SHS            Y81669106         11,707       2,300       X     28-12020     2300     0           0
STEEL DYNAMICS INC             COM            858119100         46,693       5,300       X     28-4635         0     0        5300
STEEL DYNAMICS INC             COM            858119100        239,744      27,173       X     28-12020    27173     0           0
STEELCASE INC                  CL A           858155203          9,000       1,702       X     28-12020     1702     0           0
STEIN MART INC                 COM            858375108          5,780       2,000       X     28-12020     2000     0           0
STEINER LEISURE LTD            ORD            P8744Y102        117,168       4,800       X     28-4635         0     0        4800
STEINER LEISURE LTD            ORD            P8744Y102        295,000      12,102       X     28-12020    12102     0           0
STEMCELLS INC                  COM            85857R105          6,680       4,000       X     28-12020     4000     0           0
STEREOTAXIS INC                COM            85916J102          7,000       1,754       X     28-12020     1754     0           0
STERICYCLE INC                 COM            858912108     12,390,851     259,603       X     28-4635         0     0      259603
STERICYCLE INC                 COM            858912108      7,859,067     164,660       X     28-12020   164660     0           0
STERIS CORP                    COM            859152100        263,064      11,300       X     28-4635         0     0       11300
STERIS CORP                    COM            859152100        635,944      27,330       X     28-12020    27330     0           0
STERLING BANCSHARES INC        COM            858907108         60,050       9,139       X     28-12020     9139     0           0
STERLING FINL CORP WASH        COM            859319105          2,000       1,104       X     28-12020     1104     0           0
STERLITE INDS INDIA LTD        ADS            859737207          2,368         335       X     28-12020      335     0           0
STEWART ENTERPRISES INC        CL A           860370105         90,396      27,900       X     28-4635         0     0       27900
STEWART ENTERPRISES INC        CL A           860370105          7,000       2,196       X     28-12020     2196     0           0
STEWART W P & CO LTD SHS DELET ED             G84922114            138          50       X     28-12020       50     0           0
STIFEL FINL CORP               COM            860630102         17,324         400       X     28-4635         0     0         400
STIFEL FINL CORP               COM            860630102         10,000         225       X     28-12020      225     0           0
STONE ENERGY CORP              COM            861642106          2,581         775       X     28-4635         0     0         775
STONE ENERGY CORP              COM            861642106          2,030         722       X     28-12020      722     0           0
STONERIDGE INC                 COM            86183P102         32,650      15,680       X     28-12020    15680     0           0
STRATEGIC HOTELS & RESO RTS I  COM            86272T106          1,000       1,433       X     28-12020     1433     0           0
STRATTEC SEC CORP              COM            863111100          2,002         240       X     28-12020      240     0           0
STRAYER ED INC                 COM            863236105      2,417,813      13,442       X     28-4635         0     0       13442
STRAYER ED INC                 COM            863236105      3,813,571      21,201       X     28-12020    21201     0           0
STRYKER CORP                   COM            863667101      1,019,260      29,943       X     28-4635         0     0       29943
STRYKER CORP                   COM            863667101     18,096,813     531,643       X     28-12020   205559     0      326084
STUDENT LN CORP                COM            863902102          7,000         160       X     28-12020      160     0           0
SUBURBAN PROPANE PARTNE RS L   UNIT LTD PARTN 864482104        200,338       5,493       X     28-12020     5493     0           0
SUCCESSFACTORS INC             COM            864596101        224,940      29,481       X     28-12020    29481     0           0
SUFFOLK BANCORP                COM            864739107          9,000         356       X     28-12020      356     0           0
SUN BANCORP INC                COM            86663B102          4,000         715       X     28-12020      715     0           0
SUN COMMUNITIES INC            COM            866674104         71,512       6,045       X     28-12020     6045     0           0
SUN HEALTHCARE GROUP IN C      COM NEW        866933401         57,392       6,800       X     28-4635         0     0        6800
SUN HEALTHCARE GROUP IN C      COM NEW        866933401          5,000         611       X     28-12020      611     0           0
SUN HYDRAULICS CORP            COM            866942105          8,036         550       X     28-12020      550     0           0
SUN LIFE FINL INC              COM            866796105        219,125      12,269       X     28-12020    12269     0           0
SUN MICROSYSTEMS INC           COM NEW        866810203        239,379      32,702       X     28-4635         0     0       32702
SUN MICROSYSTEMS INC           COM NEW        866810203        317,670      43,392       X     28-12020    43392     0           0
SUNCOR ENERGY INC              COM            867229106         69,962       3,150       X     28-4635         0     0        3150
SUNCOR ENERGY INC              COM            867229106        591,831      26,647       X     28-12020    18647     0        8000
SUNOCO INC                     COM            86764P109        232,998       8,799       X     28-4635         0     0        8799
SUNOCO INC                     COM            86764P109      3,315,405     125,197       X     28-12020   124697     0         500







                                                                                                                  FILE NO. 28-1235
PAGE 313 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                      ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
SUNOCO LOGISTICS PRTNRS L P    COM UNITS      86764L108         58,635       1,137       X     28-12020     1137     0           0
SUNPOWER CORP                  COM CL A       867652109         32,174       1,353       X     28-4635         0     0        1353
SUNPOWER CORP                  COM CL A       867652109         46,268       1,946       X     28-12020     1946     0           0
SUNPOWER CORP                  COM CL B       867652307         18,632         941       X     28-4635         0     0         941
SUNPOWER CORP                  COM CL B       867652307          8,138         411       X     28-12020      411     0           0
SUNRISE SENIOR LIVING I N C    COM            86768K106              0         234       X     28-12020      234     0           0
SUNSTONE HOTEL INVS INC NEW    COM            867892101          4,000       1,372       X     28-12020     1372     0           0
SUNTECH PWR HLDGS CO LT D      ADR            86800C104          7,014         600       X     28-4635         0     0         600
SUNTECH PWR HLDGS CO LT D      ADR            86800C104        431,162      36,883       X     28-12020    35758     0        1125
SUNTRUST BKS INC               COM            867914103        276,172      23,524       X     28-4635         0     0       23524
SUNTRUST BKS INC               COM            867914103        726,453      61,888       X     28-12020    61484     0         404
SUPERIOR ENERGY SVCS IN C      COM            868157108        113,355       8,794       X     28-4635         0     0        8794
SUPERIOR ENERGY SVCS IN C      COM            868157108         20,156       1,554       X     28-12020     1554     0           0
SUPERIOR INDS INTL INC         COM            868168105              0          27       X     28-12020       27     0           0
SUPERTEX INC                   COM            868532102          5,000         237       X     28-12020      237     0           0
SUPERVALU INC                  COM            868536103        132,318       9,266       X     28-4635         0     0        9266
SUPERVALU INC                  COM            868536103        213,509      14,941       X     28-12020    14766     0         175
SURMODICS INC                  COM            868873100          4,000         235       X     28-12020      235     0           0
SUSQUEHANNA BANCSHARES INC P   COM            869099101          8,000         893       X     28-12020      893     0           0
SVB FINL GROUP                 COM            78486Q101         98,049       4,900       X     28-4635         0     0        4900
SVB FINL GROUP                 COM            78486Q101        278,000      13,915       X     28-12020    13915     0           0
SWIFT ENERGY CO                COM            870738101          4,000         574       X     28-12020      574     0           0
SWISS HELVETIA FD INC          COM            870875101         13,335       1,500       X     28-12020     1500     0           0
SWS GROUP INC                  COM            78503N107              0          20       X     28-12020       20     0           0
SXC HEALTH SOLUTIONS CO RP     COM            78505P100         28,002       1,300       X     28-4635         0     0        1300
SYBASE INC                     COM            871130100      2,738,216      90,400       X     28-4635         0     0       90400
SYBASE INC                     COM            871130100      2,851,000      94,114       X     28-12020    94114     0           0
SYCAMORE NETWORKS INC          COM            871206108          2,000         816       X     28-12020      816     0           0
SYKES ENTERPRISES INC          COM            871237103        103,000       6,192       X     28-12020     6192     0           0
SYMANTEC CORP                  COM            871503108        615,662      41,209       X     28-4635         0     0       41209
SYMANTEC CORP                  COM            871503108     10,999,829     736,234       X     28-12020   718668     0       17566
SYMMETRY MED INC               COM            871546206          1,000         140       X     28-12020      140     0           0
SYMYX TECHNOLOGIES             COM            87155S108         25,374       5,702       X     28-12020        0     0        5702
SYNAPTICS INC                  COM            87157D109         10,035         375       X     28-4635         0     0         375
SYNAPTICS INC                  COM            87157D109        950,000      35,487       X     28-12020    35487     0           0
SYNCHRONOSS TECHNOLOGIE S INC  COM            87157B103          8,000         657       X     28-12020      657     0           0
SYNGENTA AG                    SPONSORED ADR  87160A100      1,604,440      40,001       X     28-4635         0     0       40001
SYNGENTA AG                    SPONSORED ADR  87160A100      2,703,620      67,412       X     28-12020    67012     0         400
SYNIVERSE HLDGS INC            COM            87163F106        271,072      17,200       X     28-4635         0     0       17200
SYNIVERSE HLDGS INC            COM            87163F106         99,000       6,261       X     28-12020     6261     0           0
SYNNEX CORP                    COM            87162W100          8,000         425       X     28-12020      425     0           0
SYNOPSYS INC                   COM            871607107         22,803       1,100       X     28-4635         0     0        1100
SYNOPSYS INC                   COM            871607107         51,000       2,449       X     28-12020     2449     0           0
SYNOVUS FINL CORP              COM            87161C105         12,973       3,951       X     28-12020     3951     0           0
SYNTHESIS ENERGY SYS IN C      COM            871628103            132         200       X     28-12020      200     0           0
SYPRIS SOLUTIONS INC           COM            871655106            228         250       X     28-12020      250     0           0
SYSCO CORP                     COM            871829107      1,082,248      47,467       X     28-4635         0     0       47467
SYSCO CORP                     COM            871829107     24,058,791   1,055,219       X     28-12020  1049153     0        6066
SYSTEMAX INC                   COM            871851101          8,168         657       X     28-12020      657     0           0
T-3 ENERGY SRVCS INC           COM            87306E107          1,000          48       X     28-12020       48     0           0
TAIWAN SEMICONDUCTOR MF G LTD  SPONSORED ADR  874039100        250,546      27,994       X     28-4635         0     0       27994







                                                                                                                  FILE NO. 28-1235
PAGE 314 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                      ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
TAIWAN SEMICONDUCTOR MF G LTD  SPONSORED ADR  874039100      6,929,045     774,195       X     28-12020   757569     0       16626
TAKE-TWO INTERACTIVE SO FTWAR  COM            874054109          5,000         604       X     28-12020      604     0           0
TALISMAN ENERGY INC            COM            87425E103         49,350       4,700       X     28-12020      700     0        4000
TANGER FACTORY OUTLET C TRS I  COM            875465106         31,145       1,024       X     28-12020     1024     0           0
TARGA RESOURCES PARTNER S LP   COM UNIT       87611X105          4,709         525       X     28-4635         0     0         525
TARGA RESOURCES PARTNER S LP   COM UNIT       87611X105        407,000      45,425       X     28-12020    45425     0           0
TARGET CORP                    COM            87612E106      7,357,259     213,936       X     28-4635         0     0      213936
TARGET CORP                    COM            87612E106     35,711,675   1,038,445       X     28-12020   995566     0       42879
TATA COMMUNICATIONS LTD        SPONS ADR      876564105          1,175          55       X     28-12020       55     0           0
TATA MTRS LTD                  SPONSORED ADR  876568502         70,479      14,296       X     28-12020    14296     0           0
TAUBMAN CTRS INC               COM            876664103        230,471      13,536       X     28-12020      891     0       12645
TBS INTERNATIONAL LIMIT ED     COM CL A       G86975151        101,000      13,764       X     28-12020    13764     0           0
TC PIPELINES LP                UT COM LTD PRT 87233Q108          8,925         300       X     28-12020      300     0           0
TCF FINL CORP                  COM            872275102        123,480      10,500       X     28-4635         0     0       10500
TCF FINL CORP                  COM            872275102         17,000       1,418       X     28-12020     1418     0           0
TD AMERITRADE HLDG CORP        COM            87236Y108        252,682      18,297       X     28-4635         0     0       18297
TD AMERITRADE HLDG CORP        COM            87236Y108         61,552       4,485       X     28-12020     4485     0           0
TEAM INC                       COM            878155100          5,000         412       X     28-12020      412     0           0
TECH DATA CORP                 COM            878237106         24,000       1,106       X     28-12020     1106     0           0
TECHNE CORP                    COM            878377100        697,662      12,752       X     28-4635         0     0       12752
TECHNE CORP                    COM            878377100      1,391,239      25,438       X     28-12020    25438     0           0
TECHNITROL INC                 COM            878555101          2,000       1,074       X     28-12020     1074     0           0
TECK COMINCO LTD               CL B           878742204          1,388         250       X     28-12020      250     0           0
TECO ENERGY INC                COM            872375100        998,594      89,560       X     28-4635         0     0       89560
TECO ENERGY INC                COM            872375100      1,051,516      94,303       X     28-12020    92103     0        2200
TECUMSEH PRODS CO              CL B           878895101      4,504,509     888,113       X     28-12020   888113     0           0
TECUMSEH PRODS CO              CL A           878895200              0           7       X     28-12020        7     0           0
TEEKAY CORPORATION             COM            Y8564W103          6,846         464       X     28-12020      464     0           0
TEJON RANCH CO DEL             COM            879080109          1,000          64       X     28-12020       64     0           0
TEKELEC                        COM            879101103         20,000       1,544       X     28-12020     1544     0           0
TELE NORTE LESTE PART S A      SPON ADR PFD   879246106          1,772         128       X     28-12020      128     0           0
TELECOM CORP NEW ZEALAN D LTD  SPONSORED ADR  879278208          2,773         426       X     28-12020      426     0           0
TELECOM ITALIA S P A NE W      SPON ADR ORD   87927Y102          7,763         607       X     28-12020      607     0           0
TELEDYNE TECHNOLOGIES I N C    COM            879360105        485,576      18,200       X     28-4635         0     0       18200
TELEDYNE TECHNOLOGIES I N C    COM            879360105        214,314       8,023       X     28-12020     8023     0           0
TELEFLEX INC                   COM            879369106        191,541       4,900       X     28-4635         0     0        4900
TELEFLEX INC                   COM            879369106        112,044       2,869       X     28-12020     2869     0           0
TELEFONICA S A                 SPONSORED ADR  879382208         92,411       1,550       X     28-4635         0     0        1550
TELEFONICA S A                 SPONSORED ADR  879382208        166,340       2,790       X     28-12020     2790     0           0
TELEFONOS DE MEXICO S A B      SPON ADR ORD L 879403780         49,873       3,316       X     28-12020     3316     0           0
TELEPHONE & DATA SYS IN C      COM            879433100         41,939       1,582       X     28-4635         0     0        1582
TELEPHONE & DATA SYS IN C      COM            879433100         46,000       1,751       X     28-12020     1751     0           0
TELETECH HOLDINGS INC          COM            879939106        879,368      80,750       X     28-4635         0     0       80750
TELETECH HOLDINGS INC          COM            879939106      1,068,068      98,052       X     28-12020    96852     0        1200
TELIK INC                      COM            87959M109            129         300       X     28-12020      300     0           0
TELLABS INC                    COM            879664100         79,440      17,345       X     28-4635         0     0       17345
TELLABS INC                    COM            879664100      3,471,495     757,913       X     28-12020   756206     0        1707
TELMEX INTERNACIONAL SA B DE   SPONS ADR SR L 879690105         15,589       1,700       X     28-12020     1700     0           0
TELUS CORP                     NON-VTG SHS    87971M202          2,900         110       X     28-12020      110     0           0
TEMPLE INLAND INC              COM            879868107         14,438       2,635       X     28-12020     2635     0           0
TEMPLETON GLOBAL INCOME FD     COM            880198106          5,944         800       X     28-12020      800     0           0







                                                                                                                  FILE NO. 28-1235
PAGE 315 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                      ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
TEMPUR PEDIC INTL INC          COM            88023U101         14,000       1,957       X     28-12020     1957     0           0
TENARIS S A                    SPONSORED ADR  88031M109         32,272       1,600       X     28-4635         0     0        1600
TENET HEALTHCARE CORP          COM            88033G100         24,852      21,424       X     28-4635         0     0       21424
TENET HEALTHCARE CORP          COM            88033G100         25,248      21,532       X     28-12020    21532     0           0
TENNANT CO                     COM            880345103         40,480       4,319       X     28-12020     4319     0           0
TENNECO INC                    COM            880349105          1,163         515       X     28-12020      515     0           0
TEPPCO PARTNERS L P            UT LTD PARTNER 872384102        298,029      13,158       X     28-12020     9758     0        3400
TERADATA CORP DEL              COM            88076W103        141,698       8,736       X     28-4635         0     0        8736
TERADATA CORP DEL              COM            88076W103        198,286      12,230       X     28-12020    12230     0           0
TERADYNE INC                   COM            880770102         51,128      11,673       X     28-4635         0     0       11673
TERADYNE INC                   COM            880770102         53,105      12,186       X     28-12020    10209     0        1977
TEREX CORP NEW                 COM            880779103         32,468       3,510       X     28-4635         0     0        3510
TEREX CORP NEW                 COM            880779103        114,042      12,349       X     28-12020    12349     0           0
TERRA INDS INC                 COM            880915103        132,388       4,713       X     28-4635         0     0        4713
TERRA INDS INC                 COM            880915103        404,433      14,393       X     28-12020    14393     0           0
TERRA NITROGEN CO L P          COM UNIT       881005201        567,150       3,968       X     28-12020     3968     0           0
TESORO CORP                    COM            881609101        116,179       8,625       X     28-4635         0     0        8625
TESORO CORP                    COM            881609101        164,880      12,251       X     28-12020     8251     0        4000
TESSERA TECHNOLOGIES IN C      COM            88164L100          7,000         514       X     28-12020      514     0           0
TETRA TECH INC NEW             COM            88162G103        474,854      23,300       X     28-4635         0     0       23300
TETRA TECH INC NEW             COM            88162G103        384,280      18,843       X     28-12020    18843     0           0
TETRA TECHNOLOGIES INC DEL     COM            88162F105         13,228       4,070       X     28-4635         0     0        4070
TETRA TECHNOLOGIES INC DEL     COM            88162F105          6,875       2,035       X     28-12020     2035     0           0
TEVA PHARMACEUTICAL IND S LTD  ADR            881624209      6,575,678     145,964       X     28-4635         0     0      145964
TEVA PHARMACEUTICAL IND S LTD  ADR            881624209     84,010,838   1,864,830       X     28-12020  1807799     0       57031
TEXAS CAPITAL BANCSHARE S INC  COM            88224Q107         55,174       4,900       X     28-4635         0     0        4900
TEXAS CAPITAL BANCSHARE S INC  COM            88224Q107          8,000         671       X     28-12020      671     0           0
TEXAS INSTRS INC               COM            882508104      1,715,472     103,905       X     28-4635         0     0      103905
TEXAS INSTRS INC               COM            882508104     27,144,673   1,644,164       X     28-12020  1599301     0       44863
TEXAS ROADHOUSE INC            CL A           882681109      5,203,322     545,956       X     28-12020   545956     0           0
TEXTRON INC                    COM            883203101        104,571      18,218       X     28-4635         0     0       18218
TEXTRON INC                    COM            883203101        211,919      36,941       X     28-12020    35941     0        1000
TFS FINL CORP                  COM            87240R107        177,098      14,600       X     28-4635         0     0       14600
TFS FINL CORP                  COM            87240R107         20,704       1,730       X     28-12020     1730     0           0
THE9 LTD                       ADR            88337K104          4,047         300       X     28-4635         0     0         300
THE9 LTD                       ADR            88337K104        271,000      20,100       X     28-12020    20100     0           0
THERAGENICS CORP               COM            883375107         46,595      38,193       X     28-12020        0     0       38193
THERAVANCE INC                 COM            88338T104         22,000       1,284       X     28-12020     1284     0           0
THERMO FISHER SCIENTIFI C INC  COM            883556102        912,974      25,595       X     28-4635         0     0       25595
THERMO FISHER SCIENTIFI C INC  COM            883556102      2,548,761      71,461       X     28-12020    59343     0       12118
THESTREET COM                  COM            88368Q103          7,289       3,700       X     28-4635         0     0        3700
THESTREET COM                  COM            88368Q103          1,000         627       X     28-12020      627     0           0
THINKORSWIM GROUP INC          COM            88409C105         53,568       6,200       X     28-4635         0     0        6200
THINKORSWIM GROUP INC          COM            88409C105          9,000       1,040       X     28-12020     1040     0           0
THOMAS & BETTS CORP            COM            884315102          5,004         200       X     28-4635         0     0         200
THOMAS & BETTS CORP            COM            884315102         24,000         962       X     28-12020      962     0           0
THOMPSON CREEK METALS C O INC  COM            884768102          1,985         500       X     28-4635         0     0         500
THOMPSON CREEK METALS C O INC  COM            884768102        772,343     194,545       X     28-12020   190395     0        4150
THOMSON REUTERS PLC            SPONSORED ADR  885141101         71,669         536       X     28-12020      536     0           0
THOR INDS INC                  COM            885160101         21,134       1,353       X     28-4635         0     0        1353
THOR INDS INC                  COM            885160101          9,000         586       X     28-12020      586     0           0







                                                                                                                  FILE NO. 28-1235
PAGE 316 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                      ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
THORATEC CORP                  COM NEW        885175307        220,934       8,600       X     28-4635         0     0        8600
THORATEC CORP                  COM NEW        885175307        102,000       3,966       X     28-12020     3966     0           0
TIBCO SOFTWARE INC             COM            88632Q103         25,016       4,222       X     28-12020     4222     0           0
TICKETMASTER ENTMT INC         COM            88633P302        125,364      33,974       X     28-4635         0     0       33974
TICKETMASTER ENTMT INC         COM            88633P302        315,052      85,351       X     28-12020    85351     0           0
TIDEWATER INC                  COM            886423102         22,278         600       X     28-4635         0     0         600
TIDEWATER INC                  COM            886423102        440,705      11,881       X     28-12020    11881     0           0
TIFFANY & CO NEW               COM            886547108        188,736       8,754       X     28-4635         0     0        8754
TIFFANY & CO NEW               COM            886547108        205,368       9,537       X     28-12020     9537     0           0
TIM HORTONS INC                COM            88706M103        140,245       5,528       X     28-4635         0     0        5528
TIM HORTONS INC                COM            88706M103        402,093      15,845       X     28-12020    15845     0           0
TIMBERLAND CO                  CL A           887100105         23,880       2,000       X     28-4635         0     0        2000
TIME WARNER CABLE INC          COM            88732J207      2,035,001      82,056       X     28-4635         0     0       82056
TIME WARNER CABLE INC          COM            88732J207      3,308,266     133,386       X     28-12020   132409     0         977
TIME WARNER INC                COM            887317105      7,025,174   1,091,996       X     28-4635         0     0     1091996
TIME WARNER INC                COM            887317105        781,013     121,401       X     28-12020   109726     0       11675
TIMKEN CO                      COM            887389104         52,873       3,819       X     28-12020     3819     0           0
TITANIUM METALS CORP           COM NEW        888339207         32,136       5,875       X     28-4635         0     0        5875
TITANIUM METALS CORP           COM NEW        888339207         37,864       6,998       X     28-12020     5337     0        1661
TIVO INC                       COM            888706108         16,000       2,237       X     28-12020     2237     0           0
TJX COS INC NEW                COM            872540109        810,711      31,619       X     28-4635         0     0       31619
TJX COS INC NEW                COM            872540109      2,255,752      87,988       X     28-12020    86240     0        1748
TNS INC                        COM            872960109          7,000         896       X     28-12020      896     0           0
TOLL BROTHERS INC              COM            889478103         28,454       1,573       X     28-12020     1573     0           0
TOMPKINS FINANCIAL CORP ORATI  COM            890110109        367,650       8,550       X     28-4635         0     0        8550
TOMPKINS FINANCIAL CORP ORATI  COM            890110109        479,846      11,157       X     28-12020    11157     0           0
TOOTSIE ROLL INDS INC          COM            890516107         22,512       1,047       X     28-12020     1047     0           0
TORCHMARK CORP                 COM            891027104         95,844       3,654       X     28-4635         0     0        3654
TORCHMARK CORP                 COM            891027104        159,476       6,066       X     28-12020     4866     0        1200
TOREADOR RES CORP              COM            891050106          3,000       1,188       X     28-12020     1188     0           0
TORO CO                        COM            891092108         33,223       1,374       X     28-4635         0     0        1374
TORO CO                        COM            891092108         18,000         733       X     28-12020      733     0           0
TORONTO DOMINION BK ONT        COM NEW        891160509        168,439       4,871       X     28-12020     2624     0        2247
TOTAL S A                      SPONSORED ADR  89151E109        113,329       2,310       X     28-4635         0     0        2310
TOTAL S A                      SPONSORED ADR  89151E109        295,145       6,016       X     28-12020     6016     0           0
TOTAL SYS SVCS INC             COM            891906109        191,904      13,896       X     28-4635         0     0       13896
TOTAL SYS SVCS INC             COM            891906109        155,529      11,276       X     28-12020    10586     0         690
TOWER GROUP INC                COM            891777104        154,553       6,275       X     28-4635         0     0        6275
TOWER GROUP INC                COM            891777104        784,000      31,820       X     28-12020    31820     0           0
TOYOTA MOTOR CORP              SP ADR REP2COM 892331307         43,044         680       X     28-4635         0     0         680
TOYOTA MOTOR CORP              SP ADR REP2COM 892331307        348,719       5,509       X     28-12020     5444     0          65
TRACTOR SUPPLY CO              COM            892356106      1,726,913      47,890       X     28-4635         0     0       47890
TRACTOR SUPPLY CO              COM            892356106      3,264,028      90,529       X     28-12020    90529     0           0
TRANSACT TECHNOLOGIES I N C    COM            892918103          7,680       3,000       X     28-12020        0     0        3000
TRANSATLANTIC HLDGS INC        COM            893521104         10,000         283       X     28-12020      283     0           0
TRANSCANADA CORP               COM            89353D107         11,825         500       X     28-12020      500     0           0
TRANSDIGM GROUP INC            COM            893641100         95,236       2,900       X     28-4635         0     0        2900
TRANSDIGM GROUP INC            COM            893641100          9,000         267       X     28-12020      267     0           0
TRANSOCEAN LTD                 REG SHS        H8817H100      9,741,374     165,557       X     28-4635         0     0      165557
TRANSOCEAN LTD                 REG SHS        H8817H100      8,420,013     143,097       X     28-12020   141758     0        1339
TRAVELCENTERS OF AMERIC A LLC  COM            894174101             73          40       X     28-12020       40     0           0







                                                                                                                  FILE NO. 28-1235
PAGE 317 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                      ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
TRAVELERS COMPANIES INC        COM            89417E109      4,049,939      99,654       X     28-4635         0     0       99654
TRAVELERS COMPANIES INC        COM            89417E109     32,680,264     804,134       X     28-12020   781267     0       22867
TREDEGAR CORP                  COM            894650100        824,665      50,500       X     28-4635         0     0       50500
TREDEGAR CORP                  COM            894650100        670,000      41,046       X     28-12020    41046     0           0
TREE COM INC                   COM            894675107            259          56       X     28-4635         0     0          56
TREE COM INC                   COM            894675107              9          91       X     28-12020       91     0           0
TREEHOUSE FOODS INC            COM            89469A104        175,619       6,100       X     28-4635         0     0        6100
TREEHOUSE FOODS INC            COM            89469A104        611,000      21,236       X     28-12020    21236     0           0
TRICO MARINE SERVICES I N C    COM NEW        896106200          1,000         519       X     28-12020      519     0           0
TRIDENT MICROSYSTEMS IN C      COM            895919108          2,000       1,393       X     28-12020     1393     0           0
TRIMBLE NAVIGATION LTD         COM            896239100      1,718,037     112,437       X     28-4635         0     0      112437
TRIMBLE NAVIGATION LTD         COM            896239100      5,580,605     365,232       X     28-12020   365232     0           0
TRINITY INDS INC               COM            896522109         12,339       1,350       X     28-4635         0     0        1350
TRINITY INDS INC               COM            896522109      1,909,775     208,989       X     28-12020   195249     0       13740
TRIQUINT SEMICONDUCTOR INC     COM            89674K103         10,028       3,864       X     28-12020     3864     0           0
TRIUMPH GROUP INC NEW          COM            896818101        110,780       2,900       X     28-4635         0     0        2900
TRIUMPH GROUP INC NEW          COM            896818101        300,000       7,847       X     28-12020     7847     0           0
TRUE RELIGION APPAREL I N C    COM            89784N104          3,543         300       X     28-4635         0     0         300
TRUE RELIGION APPAREL I N C    COM            89784N104          6,850         580       X     28-12020      580     0           0
TRUEBLUE INC                   COM            89785X101          9,000       1,079       X     28-12020     1079     0           0
TRUSTCO BK CORP N Y            COM            898349105         92,708      15,400       X     28-4635         0     0       15400
TRUSTCO BK CORP N Y            COM            898349105         10,589       1,682       X     28-12020     1682     0           0
TRUSTMARK CORP                 COM            898402102         16,542         900       X     28-4635         0     0         900
TRUSTMARK CORP                 COM            898402102         19,000       1,059       X     28-12020     1059     0           0
TRW AUTOMOTIVE HLDGS CO RP     COM            87264S106          3,000         900       X     28-12020      900     0           0
TS&W CLAYMORE TAX ADVNT G BL   COM            87280R108        111,010      16,325       X     28-12020        0     0       16325
TTM TECHNOLOGIES  INC          COM            87305R109        137,460      23,700       X     28-4635         0     0       23700
TTM TECHNOLOGIES  INC          COM            87305R109        375,000      64,695       X     28-12020    64695     0           0
TUESDAY MORNING CORP           COM NEW        899035505              0          11       X     28-12020       11     0           0
TUPPERWARE BRANDS CORP         COM            899896104         45,679       2,681       X     28-12020     2681     0           0
TURKISH INVT FD INC            COM            900145103          6,438       1,250       X     28-12020     1250     0           0
TW TELECOM INC                 COM            87311L104         10,000       1,174       X     28-12020     1174     0           0
TWEEN BRANDS INC               COM            901166108            428         369       X     28-12020      369     0           0
TWIN DISC INC                  COM            901476101          9,920       1,497       X     28-12020     1497     0           0
TYCO ELECTRONICS LTD           COM NEW        G9144P105        222,048      20,113       X     28-4635         0     0       20113
TYCO ELECTRONICS LTD           COM NEW        G9144P105        576,468      52,229       X     28-12020    47079     0        5150
TYLER TECHNOLOGIES INC         COM            902252105      1,233,411      84,307       X     28-4635         0     0       84307
TYLER TECHNOLOGIES INC         COM            902252105      2,667,000     182,307       X     28-12020   182307     0           0
TYSON FOODS INC                CL A           902494103        141,723      15,093       X     28-4635         0     0       15093
TYSON FOODS INC                CL A           902494103        197,880      21,090       X     28-12020    20590     0         500
U S AIRWAYS GROUP INC          COM            90341W108          5,000       1,870       X     28-12020     1870     0           0
U S CONCRETE INC               COM            90333L102          3,000       1,500       X     28-12020     1500     0           0
U S G CORP                     COM NEW        903293405         16,198       2,146       X     28-12020     2146     0           0
U S GEOTHERMAL INC             COM            90338S102          1,000       2,000       X     28-12020     2000     0           0
U S PHYSICAL THERAPY IN C      COM            90337L108        531,432      54,900       X     28-4635         0     0       54900
U S PHYSICAL THERAPY IN C      COM            90337L108        208,000      21,500       X     28-12020    21500     0           0
U STORE IT TR                  COM            91274F104         32,320      16,230       X     28-12020    16230     0           0
UAL CORP                       COM NEW        902549807          9,000       1,960       X     28-12020     1960     0           0
UBS AG                         SHS NEW        H89231338         79,410       8,421       X     28-4635         0     0        8421
UBS AG                         SHS NEW        H89231338        509,357      54,006       X     28-12020    53506     0         500
UCBH HOLDINGS INC              COM            90262T308          3,000       1,823       X     28-12020     1823     0           0







                                                                                                                  FILE NO. 28-1235
PAGE 318 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                      ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
UDR INC                        COM            902653104         28,448       3,256       X     28-12020     3256     0           0
UGI CORP NEW                   COM            902681105      1,878,648      79,570       X     28-4635         0     0       79570
UGI CORP NEW                   COM            902681105      3,639,527     154,166       X     28-12020   154166     0           0
UIL HLDG CORP                  COM            902748102         30,784       1,365       X     28-12020     1365     0           0
ULTIMATE SOFTWARE GROUP INC    COM            90385D107          2,000         109       X     28-12020      109     0           0
ULTRA PETROLEUM CORP           COM            903914109         14,356         400       X     28-12020      400     0           0
ULTRAPETROL BAHAMAS LTD        COM            P94398107          2,000         835       X     28-12020      835     0           0
UMB FINL CORP                  COM            902788108        247,504       5,825       X     28-4635         0     0        5825
UMB FINL CORP                  COM            902788108      1,880,000      44,243       X     28-12020    44243     0           0
UMPQUA HLDGS CORP              COM            904214103         15,402       1,700       X     28-4635         0     0        1700
UMPQUA HLDGS CORP              COM            904214103          4,000         453       X     28-12020      453     0           0
UNDER ARMOUR INC               CL A           904311107          9,513         579       X     28-12020      579     0           0
UNIBANCO-UNIAO DE BANCO S BRA  ADR REP UNITS  90458E107          2,878          46       X     28-12020       46     0           0
UNIFI INC                      COM            904677101            640       1,000       X     28-12020        0     0        1000
UNIFIRST CORP MASS             COM            904708104      1,955,482      70,240       X     28-4635         0     0       70240
UNIFIRST CORP MASS             COM            904708104      2,384,560      85,660       X     28-12020    85660     0           0
UNILEVER N V N                 Y SHS NEW      904784709         94,080       4,800       X     28-4635         0     0        4800
UNILEVER N V N                 Y SHS NEW      904784709        885,313      45,169       X     28-12020    45169     0           0
UNILEVER PLC                   SPON ADR NEW   904767704        198,727      10,498       X     28-12020    10498     0           0
UNION DRILLING INC             COM            90653P105          2,000         594       X     28-12020      594     0           0
UNION PAC CORP                 COM            907818108      1,579,816      38,429       X     28-4635         0     0       38429
UNION PAC CORP                 COM            907818108     14,105,995     343,134       X     28-12020   333457     0        9677
UNISOURCE ENERGY CORP          COM            909205106         26,638         961       X     28-12020      761     0         200
UNISYS CORP                    COM            909214108          3,663       7,733       X     28-12020     7733     0           0
UNIT CORP                      COM            909218109         39,769       1,901       X     28-4635         0     0        1901
UNIT CORP                      COM            909218109         16,000         746       X     28-12020      746     0           0
UNITED AMER INDEMNITY L T D    CL A           90933T109              0          47       X     28-12020       47     0           0
UNITED BANKSHARES INC W EST V  COM            909907107        155,126       8,998       X     28-4635         0     0        8998
UNITED BANKSHARES INC W EST V  COM            909907107         84,000       4,884       X     28-12020     4884     0           0
UNITED CAPITAL CORP            COM            909912107          8,625         500       X     28-12020      500     0           0
UNITED CMNTY FINL CORP OHIO    COM            909839102         15,548      12,850       X     28-12020    12850     0           0
UNITED FIRE & CAS CO           COM            910331107         30,744       1,400       X     28-4635         0     0        1400
UNITED FIRE & CAS CO           COM            910331107          4,196         211       X     28-12020      211     0           0
UNITED MICROELECTRONICS CORP   SPON ADR NEW   910873405          6,656       2,631       X     28-12020     2631     0           0
UNITED NAT FOODS INC           COM            911163103          5,000         268       X     28-12020      268     0           0
UNITED ONLINE INC              COM            911268100         13,460       3,090       X     28-12020     3090     0           0
UNITED PARCEL SERVICE I N C    CL B           911312106      5,691,850     115,641       X     28-4635         0     0      115641
UNITED PARCEL SERVICE I N C    CL B           911312106     12,509,883     254,158       X     28-12020   252073     0        2085
UNITED RENTALS INC             COM            911363109          1,000         344       X     28-12020      344     0           0
UNITED STATES CELLULAR CORP    COM            911684108          6,968         209       X     28-4635         0     0         209
UNITED STATES CELLULAR CORP    COM            911684108         11,000         318       X     28-12020      318     0           0
UNITED STATES OIL FUND LP      UNITS          91232N108         15,251         525       X     28-12020      525     0           0
UNITED STATES STL CORP NEW     COM            912909108        189,430       8,965       X     28-4635         0     0        8965
UNITED STATES STL CORP NEW     COM            912909108        186,584       8,813       X     28-12020     8669     0         144
UNITED STATIONERS INC          COM            913004107        863,179      30,740       X     28-4635         0     0       30740
UNITED STATIONERS INC          COM            913004107      1,414,000      50,342       X     28-12020    50342     0           0
UNITED TECHNOLOGIES COR P      COM            913017109     16,559,936     385,294       X     28-4635         0     0      385294
UNITED TECHNOLOGIES COR P      COM            913017109     20,831,968     484,681       X     28-12020   476067     0        8614
UNITED THERAPEUTICS COR P DEL  COM            91307C102        165,225       2,500       X     28-4635         0     0        2500
UNITED THERAPEUTICS COR P DEL  COM            91307C102         32,560         487       X     28-12020      487     0           0
UNITEDHEALTH GROUP INC         COM            91324P102      1,550,160      74,064       X     28-4635         0     0       74064







                                                                                                                  FILE NO. 28-1235
PAGE 319 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                      ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
UNITEDHEALTH GROUP INC         COM            91324P102      1,715,457      81,956       X     28-12020    81456     0         500
UNITRIN INC                    COM            913275103         40,767       2,943       X     28-12020     2943     0           0
UNIVERSAL AMERICAN CORP        COM            913377107          9,529       1,125       X     28-4635         0     0        1125
UNIVERSAL AMERICAN CORP        COM            913377107      1,306,579     154,272       X     28-12020   154272     0           0
UNIVERSAL CORP VA              COM            913456109        167,552       5,600       X     28-4635         0     0        5600
UNIVERSAL CORP VA              COM            913456109        478,976      16,003       X     28-12020    16003     0           0
UNIVERSAL DISPLAY CORP         COM            91347P105         11,921       1,300       X     28-4635         0     0        1300
UNIVERSAL ELECTRS INC          COM            913483103              0          25       X     28-12020       25     0           0
UNIVERSAL FST PRODS INC        COM            913543104          3,661         141       X     28-12020      141     0           0
UNIVERSAL HEALTH RLTY I NCM T  SH BEN INT     91359E105        814,055      27,850       X     28-4635         0     0       27850
UNIVERSAL HEALTH RLTY I NCM T  SH BEN INT     91359E105        335,538      11,463       X     28-12020    11463     0           0
UNIVERSAL HLTH SVCS INC        CL B           913903100          7,668         200       X     28-4635         0     0         200
UNIVERSAL HLTH SVCS INC        CL B           913903100      1,126,435      29,389       X     28-12020    29389     0           0
UNIVERSAL STAINLESS & A LLOY   COM            913837100        609,984      63,080       X     28-4635         0     0       63080
UNIVERSAL STAINLESS & A LLOY   COM            913837100      1,097,000     113,440       X     28-12020   113440     0           0
UNIVEST CORP PA                COM            915271100          7,000         422       X     28-12020      422     0           0
UNUM GROUP                     COM            91529Y106        249,200      19,936       X     28-4635         0     0       19936
UNUM GROUP                     COM            91529Y106        269,601      21,563       X     28-12020    21119     0         444
URANIUM RES INC                COM PAR $0.001 916901507          2,000       3,857       X     28-12020     3857     0           0
URBAN OUTFITTERS INC           COM            917047102        197,422      12,060       X     28-4635         0     0       12060
URBAN OUTFITTERS INC           COM            917047102        249,055      15,199       X     28-12020    15199     0           0
URS CORP NEW                   COM            903236107         92,943       2,300       X     28-4635         0     0        2300
URS CORP NEW                   COM            903236107         51,404       1,261       X     28-12020     1261     0           0
URSTADT BIDDLE PPTYS IN S      CL A           917286205        900,536      67,104       X     28-4635         0     0       67104
URSTADT BIDDLE PPTYS IN S      CL A           917286205      1,549,000     115,393       X     28-12020   115393     0           0
US BANCORP DEL                 COM NEW        902973304      1,258,155      86,116       X     28-4635         0     0       86116
US BANCORP DEL                 COM NEW        902973304     12,176,144     833,385       X     28-12020   775511     0       57874
USA MOBILITY INC               COM            90341G103          8,750         950       X     28-4635         0     0         950
USA MOBILITY INC               COM            90341G103        807,000      87,626       X     28-12020    87626     0           0
USANA HEALTH SCIENCES I N C    COM            90328M107          1,000          23       X     28-12020       23     0           0
USEC INC                       COM            90333E108         10,000       2,157       X     28-12020     2157     0           0
UTI WORLDWIDE INC              ORD            G87210103         10,755         900       X     28-4635         0     0         900
UTI WORLDWIDE INC              ORD            G87210103        495,000      41,447       X     28-12020    41447     0           0
V F CORP                       COM            918204108        232,152       4,065       X     28-4635         0     0        4065
V F CORP                       COM            918204108        295,762       5,187       X     28-12020     5097     0          90
VAALCO ENERGY INC              COM NEW        91851C201        216,890      41,000       X     28-4635         0     0       41000
VAALCO ENERGY INC              COM NEW        91851C201         12,000       2,306       X     28-12020     2306     0           0
VAIL RESORTS INC               COM            91879Q109          6,000         305       X     28-12020      305     0           0
VALASSIS COMMUNICATIONS INC    COM            918866104          3,000       1,628       X     28-12020     1628     0           0
VALEANT PHARMACEUTICALS INTL   COM            91911X104         22,895       1,306       X     28-12020     1306     0           0
VALENCE TECHNOLOGY INC         COM            918914102          3,195       1,500       X     28-12020        0     0        1500
VALERO ENERGY CORP NEW         COM            91913Y100        574,697      32,106       X     28-4635         0     0       32106
VALERO ENERGY CORP NEW         COM            91913Y100        987,177      55,167       X     28-12020    52631     0        2536
VALIDUS HOLDINGS LTD           COM SHS        G9319H102         16,000         662       X     28-12020      662     0           0
VALLEY NATL BANCORP            COM            919794107        738,489      59,700       X     28-4635         0     0       59700
VALLEY NATL BANCORP            COM            919794107      1,274,000     102,963       X     28-12020   102963     0           0
VALMONT INDS INC               COM            920253101         25,205         502       X     28-4635         0     0         502
VALMONT INDS INC               COM            920253101         23,000         457       X     28-12020      457     0           0
VALSPAR CORP                   COM            920355104        512,031      25,634       X     28-12020    25634     0           0
VALUECLICK INC                 COM            92046N102         17,553       2,107       X     28-12020     2107     0           0
VAN KAMPEN HIGH INCOME TR II   SH BEN INT     920913100          1,440         750       X     28-12020      750     0           0







                                                                                                                  FILE NO. 28-1235
PAGE 320 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                      ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
VAN KAMPEN MUN OPPORTUN ITY T  COM            920935103         22,042       1,984       X     28-12020     1984     0           0
VAN KAMPEN MUN TR              SH BEN INT     920919107         21,720       1,980       X     28-12020     1980     0           0
VAN KAMPEN OHIO QUALITY MUN    COM            920923109         48,269       3,950       X     28-12020     3950     0           0
VAN KAMPEN TR INVT GRAD E MUN  COM            920929106         53,769       4,942       X     28-12020      942     0        4000
VAN KAMPEN TR INVT GRAD E N J  COM            920933108         24,070       2,021       X     28-12020     2021     0           0
VANGUARD BD INDEX FD IN C      TOTAL BND MRKT 921937835     98,369,491   1,275,042       X     28-12020  1176867     0       98175
VANGUARD INDEX FDS             REIT ETF       922908553         54,411       2,241       X     28-12020     2241     0           0
VANGUARD INDEX FDS             SM CP VAL ETF  922908611         13,556         390       X     28-12020      390     0           0
VANGUARD INDEX FDS             GROWTH ETF     922908736         37,360       1,000       X     28-12020     1000     0           0
VANGUARD INDEX FDS             SMALL CP ETF   922908751         42,468       1,160       X     28-12020      560     0         600
VANGUARD INDEX FDS             STK MRK ETF    922908769        417,648      10,552       X     28-12020    10552     0           0
VANGUARD INTL EQUITY IN DEX F  ALLWRLD EX US  922042775         34,588       1,230       X     28-12020     1230     0           0
VANGUARD INTL EQUITY IN DEX F  EMR MKT ETF    922042858      3,981,263     168,984       X     28-4635         0     0      168984
VANGUARD INTL EQUITY IN DEX F  EMR MKT ETF    922042858    120,067,448   5,096,204       X     28-12020  4948399     0      147805
VANGUARD TAX-MANAGED FD        EUROPE PAC ETF 921943858         69,628       3,026       X     28-4635         0     0        3026
VANGUARD TAX-MANAGED FD        EUROPE PAC ETF 921943858     67,422,498   2,930,139       X     28-12020  2849466     0       80673
VANGUARD WORLD FDS             FINANCIALS ETF 92204A405         18,785       1,000       X     28-12020     1000     0           0
VANGUARD WORLD FDS             INF TECH ETF   92204A702         35,230       1,000       X     28-12020     1000     0           0
VANGUARD WORLD FDS             MATERIALS ETF  92204A801          1,098          25       X     28-12020       25     0           0
VARIAN INC                     COM            922206107        398,832      16,800       X     28-4635         0     0       16800
VARIAN INC                     COM            922206107        180,740       7,605       X     28-12020     7605     0           0
VARIAN MED SYS INC             COM            92220P105        364,184      11,964       X     28-4635         0     0       11964
VARIAN MED SYS INC             COM            92220P105     27,955,107     918,390       X     28-12020   892856     0       25534
VARIAN SEMICONDUCTOR EQ UIPMN  COM            922207105         18,888         872       X     28-4635         0     0         872
VARIAN SEMICONDUCTOR EQ UIPMN  COM            922207105         45,621       2,101       X     28-12020     2101     0           0
VASCO DATA SEC INTL INC        COM            92230Y104         11,770       2,102       X     28-12020     2102     0           0
VCA ANTECH INC                 COM            918194101         51,482       2,283       X     28-4635         0     0        2283
VCA ANTECH INC                 COM            918194101        262,030      11,614       X     28-12020    11614     0           0
VECTOR GROUP LTD               COM            92240M108        182,769      14,070       X     28-4635         0     0       14070
VECTOR GROUP LTD               COM            92240M108          1,000          52       X     28-12020       52     0           0
VECTREN CORP                   COM            92240G101      1,777,273      84,261       X     28-12020    71545     0       12716
VEECO INSTRS INC DEL           COM            922417100          6,000         855       X     28-12020      855     0           0
VENTAS INC                     COM            92276F100        218,277       9,654       X     28-4635         0     0        9654
VENTAS INC                     COM            92276F100        284,741      12,615       X     28-12020    12615     0           0
VEOLIA ENVIRONNEMENT           SPONSORED ADR  92334N103         56,117       2,685       X     28-12020     2685     0           0
VERIFONE HLDGS INC             COM            92342Y109         13,800       2,008       X     28-12020     2008     0           0
VERIGY LTD                     SHS            Y93691106      2,348,961     284,720       X     28-12020   284674     0          46
VERISIGN INC                   COM            92343E102        300,033      15,900       X     28-4635         0     0       15900
VERISIGN INC                   COM            92343E102        224,002      11,874       X     28-12020    11874     0           0
VERIZON COMMUNICATIONS INC     COM            92343V104     13,185,229     436,597       X     28-4635         0     0      436597
VERIZON COMMUNICATIONS INC     COM            92343V104     60,295,340   1,996,520       X     28-12020  1936209     0       60311
VERIZON COMMUNICATIONS INC     COM            92343V104        146,000       3,300       X     28-12020     3300     0           0
VERTEX PHARMACEUTICALS INC     COM            92532F100        281,066       9,783       X     28-4635         0     0        9783
VERTEX PHARMACEUTICALS INC     COM            92532F100         64,000       2,245       X     28-12020     2245     0           0
VIACOM INC NEW                 CL B           92553P201        818,146      47,074       X     28-4635         0     0       47074
VIACOM INC NEW                 CL B           92553P201        864,946      49,784       X     28-12020    46029     0        3755
VIAD CORP                      COM NEW        92552R406          2,796         198       X     28-4635         0     0         198
VIAD CORP                      COM NEW        92552R406          2,793         192       X     28-12020      192     0           0
VIASAT INC                     COM            92552V100        480,942      23,100       X     28-4635         0     0       23100
VIASAT INC                     COM            92552V100      1,263,000      60,669       X     28-12020    60669     0           0
VIGNETTE CORP                  COM NEW        926734401          7,000       1,008       X     28-12020     1008     0           0







                                                                                                                  FILE NO. 28-1235
PAGE 321 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                      ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
VILLAGE SUPER MKT INC          CL A NEW       927107409          1,000          44       X     28-12020       44     0           0
VIRGIN MEDIA INC               COM            92769L101         22,000       4,487       X     28-12020     4487     0           0
VIRGIN MOBILE USA INC          CL A           92769R108          3,000       1,964       X     28-12020     1964     0           0
VIROPHARMA INC                 COM            928241108         71,400      13,600       X     28-4635         0     0       13600
VIROPHARMA INC                 COM            928241108        200,000      38,184       X     28-12020    38184     0           0
VIRTUS INVT PARTNERS IN C      COM            92828Q109             52          40       X     28-12020       40     0           0
VISA INC                       COM CL A       92826C839        788,686      14,185       X     28-4635         0     0       14185
VISA INC                       COM CL A       92826C839        950,072      17,088       X     28-12020    16469     0         619
VISHAY INTERTECHNOLOGY INC     COM            928298108         11,000       3,253       X     28-12020     3253     0           0
VISTAPRINT LIMITED             SHS            G93762204        110,741       4,032       X     28-12020     4032     0           0
VISTEON CORP COM DELET         ED             92839U107            141       1,124       X     28-12020     1124     0           0
VITAL IMAGES INC               COM            92846N104         22,540       2,000       X     28-4635         0     0        2000
VITRAN CORP INC                COM            92850E107      2,613,063     496,780       X     28-12020   496780     0           0
VIVO PARTICIPACOES S A         SPON ADR PFD
                               NEW            92855S200         10,349         793       X     28-12020      793     0           0
VIVUS INC                      COM            928551100          5,000       1,053       X     28-12020     1053     0           0
VMWARE INC                     CL A COM       928563402         63,302       2,680       X     28-4635         0     0        2680
VMWARE INC                     CL A COM       928563402         27,362       1,151       X     28-12020     1151     0           0
VOCUS INC                      COM            92858J108              0           7       X     28-12020        7     0           0
VODAFONE GROUP PLC NEW         SPONS ADR NEW  92857W209        192,927      11,075       X     28-4635         0     0       11075
VODAFONE GROUP PLC NEW         SPONS ADR NEW  92857W209      3,179,306     182,509       X     28-12020   176441     0        6068
VOLCANO CORPORATION            COM            928645100          3,000         208       X     28-12020      208     0           0
VOLCOM INC                     COM            92864N101          6,790         700       X     28-4635         0     0         700
VOLCOM INC                     COM            92864N101          1,940         200       X     28-12020      200     0           0
VOLT INFORMATION SCIENC ES IN  COM            928703107          4,000         594       X     28-12020      594     0           0
VORNADO RLTY TR                SH BEN INT     929042109        204,360       6,148       X     28-4635         0     0        6148
VORNADO RLTY TR                SH BEN INT     929042109        290,784       8,747       X     28-12020     8747     0           0
VSE CORP                       COM            918284100          5,046         189       X     28-12020      189     0           0
VULCAN MATLS CO                COM            929160109        213,921       4,830       X     28-4635         0     0        4830
VULCAN MATLS CO                COM            929160109        485,333      10,947       X     28-12020    10947     0           0
W & T OFFSHORE INC             COM            92922P106          9,840       1,600       X     28-4635         0     0        1600
W & T OFFSHORE INC             COM            92922P106          4,000         723       X     28-12020      723     0           0
W P CAREY & CO LLC             COM            92930Y107         30,911       1,393       X     28-12020     1393     0           0
WABASH NATL CORP               COM            929566107              0          25       X     28-12020       25     0           0
WABCO HLDGS INC                COM            92927K102         20,065       1,630       X     28-4635         0     0        1630
WABCO HLDGS INC                COM            92927K102         11,000         902       X     28-12020      902     0           0
WABTEC CORP                    COM            929740108        466,926      17,700       X     28-4635         0     0       17700
WABTEC CORP                    COM            929740108        199,000       7,533       X     28-12020     7533     0           0
WADDELL & REED FINL INC        CL A           930059100         22,316       1,235       X     28-4635         0     0        1235
WADDELL & REED FINL INC        CL A           930059100         23,000       1,300       X     28-12020     1300     0           0
WAL MART STORES INC            COM            931142103     31,683,990     608,138       X     28-4635         0     0      608138
WAL MART STORES INC            COM            931142103    127,573,876   2,448,645       X     28-12020  2356504     0       92141
WALGREEN CO                    COM            931422109      1,893,029      72,921       X     28-4635         0     0       72921
WALGREEN CO                    COM            931422109     14,672,475     565,202       X     28-12020   487395     0       77807
WALTER INDS INC                COM            93317Q105        716,197      31,316       X     28-4635         0     0       31316
WALTER INDS INC                COM            93317Q105        269,000      11,751       X     28-12020    11751     0           0
WARNACO GROUP INC              COM NEW        934390402         79,200       3,300       X     28-4635         0     0        3300
WARNACO GROUP INC              COM NEW        934390402         18,000         753       X     28-12020      753     0           0
WARNER CHILCOTT LIMITED        COM CL A       G9435N108         30,266       2,877       X     28-4635         0     0        2877
WARNER CHILCOTT LIMITED        COM CL A       G9435N108         17,000       1,660       X     28-12020     1660     0           0
WARNER MUSIC GROUP CORP        COM            934550104          2,000         784       X     28-12020      784     0           0
WASHINGTON FED INC             COM            938824109         50,276       3,783       X     28-4635         0     0        3783







                                                                                                                  FILE NO. 28-1235
PAGE 322 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                      ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
WASHINGTON FED INC             COM            938824109         20,000       1,534       X     28-12020     1534     0           0
WASHINGTON POST CO             CL B           939640108         91,775         257       X     28-4635         0     0         257
WASHINGTON POST CO             CL B           939640108        159,710         447       X     28-12020      447     0           0
WASHINGTON REAL ESTATE INVT    SH BEN INT     939653101        105,530       6,100       X     28-4635         0     0        6100
WASHINGTON REAL ESTATE INVT    SH BEN INT     939653101        263,000      15,189       X     28-12020    15189     0           0
WASHINGTON TR BANCORP          COM            940610108         14,625         900       X     28-4635         0     0         900
WASHINGTON TR BANCORP          COM            940610108        199,063      12,250       X     28-12020    12250     0           0
WASTE CONNECTIONS INC          COM            941053100        727,207      28,296       X     28-4635         0     0       28296
WASTE CONNECTIONS INC          COM            941053100        683,000      26,594       X     28-12020    26594     0           0
WASTE MGMT INC DEL             COM            94106L109        723,558      28,264       X     28-4635         0     0       28264
WASTE MGMT INC DEL             COM            94106L109      1,117,586      43,652       X     28-12020    43450     0         202
WATERS CORP                    COM            941848103        351,727       9,519       X     28-4635         0     0        9519
WATERS CORP                    COM            941848103        307,416       8,320       X     28-12020     8320     0           0
WATERSTONE FINANCIAL IN C      COM            941888109          1,000         636       X     28-12020      636     0           0
WATSCO INC                     COM            942622200         95,284       2,800       X     28-4635         0     0        2800
WATSON PHARMACEUTICALS INC     COM            942683103        647,617      20,817       X     28-4635         0     0       20817
WATSON PHARMACEUTICALS INC     COM            942683103        193,280       6,227       X     28-12020     6227     0           0
WATSON WYATT WORLDWIDE INC     CL A           942712100      1,299,665      26,325       X     28-4635         0     0       26325
WATSON WYATT WORLDWIDE INC     CL A           942712100      2,314,418      46,886       X     28-12020    46886     0           0
WATTS WATER TECHNOLOGIE S INC  CL A           942749102        101,712       5,200       X     28-4635         0     0        5200
WATTS WATER TECHNOLOGIE S INC  CL A           942749102        283,000      14,466       X     28-12020    14466     0           0
WAUSAU PAPER CORP              COM            943315101          3,000         573       X     28-12020      573     0           0
WAYSIDE TECHNOLOGY GROU P INC  COM            946760105          2,085         300       X     28-12020      300     0           0
WD-40 CO                       COM            929236107         19,242         793       X     28-12020      793     0           0
WEATHERFORD INTERNATION AL LT  REG            H27013103         12,177       1,100       X     28-4635         0     0        1100
WEATHERFORD INTERNATION AL LT  REG            H27013103      5,961,937     538,567       X     28-12020   526108     0       12459
WEBSENSE INC                   COM            947684106         14,400       1,200       X     28-4635         0     0        1200
WEBSENSE INC                   COM            947684106          3,000         266       X     28-12020      266     0           0
WEBSTER FINL CORP CONN         COM            947890109         13,600       3,200       X     28-4635         0     0        3200
WEBSTER FINL CORP CONN         COM            947890109          4,000         967       X     28-12020      967     0           0
WEIGHT WATCHERS INTL IN C NEW  COM            948626106         13,511         729       X     28-12020      729     0           0
WEINGARTEN RLTY INVS           SH BEN INT     948741103         14,280       1,500       X     28-4635         0     0        1500
WEINGARTEN RLTY INVS           SH BEN INT     948741103         40,606       4,309       X     28-12020     4309     0           0
WEIS MKTS INC                  COM            948849104         99,328       3,200       X     28-4635         0     0        3200
WEIS MKTS INC                  COM            948849104        277,624       8,950       X     28-12020     8950     0           0
WELLCARE HEALTH PLANS I N C    COM            94946T106          7,650         680       X     28-4635         0     0         680
WELLCARE HEALTH PLANS I N C    COM            94946T106          7,158         659       X     28-12020      659     0           0
WELLPOINT INC                  COM            94973V107        995,991      26,231       X     28-4635         0     0       26231
WELLPOINT INC                  COM            94973V107      1,277,201      33,647       X     28-12020    32961     0         686
WELLS FARGO & CO NEW           COM            949746101      3,931,442     276,084       X     28-4635         0     0      276084
WELLS FARGO & CO NEW           COM            949746101     52,461,840   3,684,109       X     28-12020  3565214     0      118895
WELLS FARGO & CO NEW           COM            949746101      2,340,000       6,000       X     28-12020     6000     0           0
WENDYS ARBYS GROUP INC         COM            950587105        159,727      31,700       X     28-12020    31700     0           0
WERNER ENTERPRISES INC         COM            950755108        168,966      11,175       X     28-4635         0     0       11175
WERNER ENTERPRISES INC         COM            950755108      1,115,000      73,724       X     28-12020    73724     0           0
WESBANCO INC                   COM            950810101         87,014       3,792       X     28-12020     1992     0        1800
WESCO FINL CORP                COM            950817106          6,000          20       X     28-12020       20     0           0
WESCO INTL INC                 COM            95082P105        708,293      39,089       X     28-4635         0     0       39089
WESCO INTL INC                 COM            95082P105        282,000      15,538       X     28-12020    15538     0           0
WEST COAST BANCORP ORE NEW     COM            952145100          1,000         588       X     28-12020      588     0           0
WEST PHARMACEUTICAL SVS C INC  COM            955306105        146,000       4,446       X     28-12020     4446     0           0







                                                                                                                  FILE NO. 28-1235
PAGE 323 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                      ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
WESTAMERICA BANCORPORAT ION    COM            957090103         59,228       1,300       X     28-4635         0     0        1300
WESTAMERICA BANCORPORAT ION    COM            957090103         24,000         521       X     28-12020      521     0           0
WESTAR ENERGY INC              COM            95709T100        296,257      16,900       X     28-4635         0     0       16900
WESTAR ENERGY INC              COM            95709T100        322,331      18,371       X     28-12020    18371     0           0
WESTERN ASSET GLB HI IN COME   COM            95766B109         43,659       6,300       X     28-12020     6300     0           0
WESTERN ASSETT MGD HI I NCM F  COM            95766L107         23,878       5,645       X     28-12020     5645     0           0
WESTERN DIGITAL CORP           COM            958102105        261,071      13,499       X     28-4635         0     0       13499
WESTERN DIGITAL CORP           COM            958102105        816,570      42,216       X     28-12020    41716     0         500
WESTERN REFNG INC              COM            959319104         12,537       1,050       X     28-4635         0     0        1050
WESTERN REFNG INC              COM            959319104      1,090,000      91,300       X     28-12020    91300     0           0
WESTERN UN CO                  COM            959802109        784,129      62,381       X     28-4635         0     0       62381
WESTERN UN CO                  COM            959802109      2,699,824     214,759       X     28-12020   210039     0        4720
WESTWOOD HLDGS GROUP IN C      COM            961765104          6,489         166       X     28-12020      166     0           0
WET SEAL INC                   CL A           961840105         21,504       6,400       X     28-4635         0     0        6400
WET SEAL INC                   CL A           961840105              0          73       X     28-12020       73     0           0
WEYERHAEUSER CO                COM            962166104      7,755,138     281,289       X     28-4635         0     0      281289
WEYERHAEUSER CO                COM            962166104      7,774,299     281,990       X     28-12020   281940     0          50
WGL HLDGS INC                  COM            92924F106        436,240      13,300       X     28-4635         0     0       13300
WGL HLDGS INC                  COM            92924F106      1,373,956      41,899       X     28-12020    41899     0           0
WHIRLPOOL CORP                 COM            963320106         94,866       3,206       X     28-4635         0     0        3206
WHIRLPOOL CORP                 COM            963320106      3,867,159     130,706       X     28-12020   130506     0         200
WHITE MTNS INS GROUP LT D      COM            G9618E107         55,084         318       X     28-12020      318     0           0
WHITING PETE CORP NEW          COM            966387102          8,556         331       X     28-4635         0     0         331
WHITING PETE CORP NEW          COM            966387102         20,000         780       X     28-12020      780     0           0
WHITNEY HLDG CORP              COM            966612103         15,000       1,314       X     28-12020     1314     0           0
WHOLE FOODS MKT INC            COM            966837106        169,126      10,067       X     28-4635         0     0       10067
WHOLE FOODS MKT INC            COM            966837106        259,744      15,467       X     28-12020    12367     0        3100
WILEY JOHN & SONS INC          CL A           968223206         77,000       2,574       X     28-12020     2574     0           0
WILLBROS GROUP INC DEL         COM            969203108         27,160       2,800       X     28-4635         0     0        2800
WILLBROS GROUP INC DEL         COM            969203108          3,000         338       X     28-12020      338     0           0
WILLIAMS CLAYTON ENERGY INC    COM            969490101        428,951      14,670       X     28-4635         0     0       14670
WILLIAMS CLAYTON ENERGY INC    COM            969490101        132,000       4,500       X     28-12020     4500     0           0
WILLIAMS COS INC DEL           COM            969457100        470,005      41,301       X     28-4635         0     0       41301
WILLIAMS COS INC DEL           COM            969457100        411,692      36,172       X     28-12020    35172     0        1000
WILLIAMS PARTNERS L P          COM UNIT L P   96950F104          2,790         250       X     28-12020      250     0           0
WILLIAMS SONOMA INC            COM            969904101         20,080       2,021       X     28-12020     2021     0           0
WILLIS LEASE FINANCE CO RP     COM            970646105        217,810      20,587       X     28-12020    20587     0           0
WILMINGTON TRUST CORP          COM            971807102         10,568       1,040       X     28-12020     1040     0           0
WIND RIVER SYSTEMS INC         COM            973149107        191,360      29,900       X     28-4635         0     0       29900
WIND RIVER SYSTEMS INC         COM            973149107         76,000      11,880       X     28-12020    11880     0           0
WINDSTREAM CORP                COM            97381W104        213,074      26,436       X     28-4635         0     0       26436
WINDSTREAM CORP                COM            97381W104        495,054      61,416       X     28-12020    59589     0        1827
WINN DIXIE STORES INC          COM NEW        974280307          3,000         270       X     28-12020      270     0           0
WINNEBAGO INDS INC             COM            974637100          4,000         728       X     28-12020      728     0           0
WINTHROP RLTY TR               SH BEN INT NEW 976391300          5,109         807       X     28-12020      807     0           0
WINTRUST FINANCIAL CORP        COM            97650W108          6,000         514       X     28-12020      514     0           0
WIPRO LTD                      SPON ADR 1 SH  97651M109            576          81       X     28-12020       81     0           0
WISCONSIN ENERGY CORP          COM            976657106        226,188       5,494       X     28-4635         0     0        5494
WISCONSIN ENERGY CORP          COM            976657106      2,021,212      49,103       X     28-12020    48734     0         369
WISDOMTREE TRUST               EQTY INC ETF   97717W208        146,798       6,402       X     28-12020     6402     0           0
WISDOMTREE TRUST               EMERG MKTS ETF 97717W307         15,620         500       X     28-12020      500     0           0







                                                                                                                  FILE NO. 28-1235
PAGE 324 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                      ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
WISDOMTREE TRUST               DIVID TOP 100  97717W406        466,375      17,500       X     28-12020    17500     0           0
WISDOMTREE TRUST               DEFA FD        97717W604        364,995      12,520       X     28-12020    12520     0           0
WISDOMTREE TRUST               INTL DV TOP100 97717W737        192,508       6,800       X     28-12020     6800     0           0
WISDOMTREE TRUST               EUROPE TOT DIV 97717W828        139,777       4,667       X     28-12020     4667     0           0
WMS INDS INC                   COM            929297109          5,228         250       X     28-4635         0     0         250
WMS INDS INC                   COM            929297109        552,872      26,435       X     28-12020    26435     0           0
WOLVERINE WORLD WIDE IN C      COM            978097103        115,682       7,425       X     28-4635         0     0        7425
WOLVERINE WORLD WIDE IN C      COM            978097103      3,864,243     248,007       X     28-12020   248007     0           0
WOODWARD GOVERNOR CO           COM            980745103        141,384      12,654       X     28-12020    12654     0           0
WOORI FIN HLDGS CO LTD         ADR            981063100         26,452       1,700       X     28-4635         0     0        1700
WORLD FUEL SVCS CORP           COM            981475106        162,000       5,124       X     28-12020     5124     0           0
WORLD WRESTLING ENTMT I N C    CL A           98156Q108         13,616       1,223       X     28-12020     1223     0           0
WORTHINGTON INDS INC           COM            981811102         85,471       9,829       X     28-12020     9829     0           0
WPP PLC                        ADR            92933H101            307          11       X     28-12020       11     0           0
WRIGHT EXPRESS CORP            COM            98233Q105          6,000         344       X     28-12020      344     0           0
WRIGHT MED GROUP INC           COM            98235T107          4,000         307       X     28-12020      307     0           0
WSFS FINL CORP                 COM            929328102          5,000         240       X     28-12020      240     0           0
WYETH                          COM            983024100      6,840,046     158,923       X     28-4635         0     0      158923
WYETH                          COM            983024100     44,839,989   1,041,820       X     28-12020  1001909     0       39911
WYETH                          DBCV 1/1       983024AD2          7,944       8,000       X     28-12020     8000     0           0
WYNDHAM WORLDWIDE CORP         COM            98310W108         25,263       6,015       X     28-4635         0     0        6015
WYNDHAM WORLDWIDE CORP         COM            98310W108         51,527      12,151       X     28-12020    10206     0        1945
WYNN RESORTS LTD               COM            983134107         98,053       4,910       X     28-4635         0     0        4910
WYNN RESORTS LTD               COM            983134107         65,000       3,251       X     28-12020     3251     0           0
X-RITE INC                     COM            983857103            468         450       X     28-12020      450     0           0
XCEL ENERGY INC                COM            98389B100        369,209      19,818       X     28-4635         0     0       19818
XCEL ENERGY INC                COM            98389B100      4,991,583     267,959       X     28-12020   264926     0        3033
XENOPORT INC                   COM            98411C100         10,000         536       X     28-12020      536     0           0
XERIUM TECHNOLOGIES INC        COM            98416J100          1,000       1,923       X     28-12020     1923     0           0
XEROX CORP                     COM            984121103        141,045      30,999       X     28-4635         0     0       30999
XEROX CORP                     COM            984121103        202,700      44,542       X     28-12020    44542     0           0
XILINX INC                     COM            983919101        422,670      22,060       X     28-4635         0     0       22060
XILINX INC                     COM            983919101        340,812      17,795       X     28-12020    15461     0        2334
XL CAP LTD                     CL A           G98255105         81,998      15,018       X     28-4635         0     0       15018
XL CAP LTD                     CL A           G98255105        141,572      25,910       X     28-12020    23373     0        2537
XOMA LTD                       ORD            G9825R107          2,795       5,280       X     28-12020     3780     0        1500
XTO ENERGY INC                 COM            98385X106        891,195      29,105       X     28-4635         0     0       29105
XTO ENERGY INC                 COM            98385X106      1,178,534      38,484       X     28-12020    37751     0         733
YAHOO INC                      COM            984332106      8,669,449     676,772       X     28-4635         0     0      676772
YAHOO INC                      COM            984332106      7,471,006     583,223       X     28-12020   581706     0        1517
YAMANA GOLD INC                COM            98462Y100          4,163         450       X     28-4635         0     0         450
YAMANA GOLD INC                COM            98462Y100      1,651,524     178,543       X     28-12020   167461     0       11082
YPF SOCIEDAD ANONIMA           SPON ADR CL D  984245100          4,980         200       X     28-12020        0     0         200
YRC WORLDWIDE INC              COM            984249102         31,655       7,050       X     28-12020       50     0        7000
YUM BRANDS INC                 COM            988498101      1,037,700      37,762       X     28-4635         0     0       37762
YUM BRANDS INC                 COM            988498101      5,023,146     182,790       X     28-12020   181358     0        1432
ZALE CORP NEW                  COM            988858106              0         238       X     28-12020      238     0           0
ZEBRA TECHNOLOGIES CORP        CL A           989207105         53,028       2,788       X     28-4635         0     0        2788
ZEBRA TECHNOLOGIES CORP        CL A           989207105        205,209      10,786       X     28-12020    10786     0           0
ZENITH NATL INS CORP           COM            989390109         15,269         636       X     28-12020      376     0         260
ZEP INC                        COM            98944B108          2,675         281       X     28-12020      281     0           0







                                                                                                                  FILE NO. 28-1235
PAGE 325 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

                                                                                      ITEM 6:
                                                                                    INVESTMENT
                                                                         ITEM 5:    DISCRETION                   ITEM 8:
                                               ITEM 3:      ITEM 4:     SHARES OR   (B)SHARED   ITEM 7:      VOTING AUTHORITY
             ITEM 1:              ITEM 2:       CUSIP     FAIR MARKET   PRINCIPAL  (A)     (C) MANAGERS          (SHARES)
        NAME OF ISSUER         TITLE OF CLASS   NUMBER       VALUE        AMOUNT   SOLE    OTH  INSTR V  (A)SOLE (B)SHARED (C)NONE
----------------------------------------------------------------------------------------------------------------------------------
                                                                                          
ZIMMER HLDGS INC               COM            98956P102      3,580,906      98,107       X     28-4635         0     0       98107
ZIMMER HLDGS INC               COM            98956P102     18,218,084     499,140       X     28-12020   493229     0        5911
ZIONS BANCORPORATION           COM            989701107         48,570       4,941       X     28-4635         0     0        4941
ZIONS BANCORPORATION           COM            989701107         64,000       6,468       X     28-12020     6468     0           0
ZOLL MED CORP                  COM            989922109          6,000         449       X     28-12020      449     0           0
ZOLTEK COS INC                 COM            98975W104          6,810       1,000       X     28-12020        0     0        1000
ZORAN CORP                     COM            98975F101         21,304       2,413       X     28-12020     1913     0         500


                               GRAND TOTAL              32,432,678,437







                                                                                                                  FILE NO. 28-1235
PAGE 326 OF 326                FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.              AS OF 03/31/09

         ENTITY TOTALS                                    FAIR MARKET                           ENTITY                    UNITS
----------------------------------------------------------------------------------------------------------------------------------
                                                                                                            
                                                        14,685,808,370                         28-5284                 491,039,420
                                                           107,137,639                         28-11135                  4,715,386
                                                            56,527,516                         28-11439                    753,480
                                                           412,245,287                         28-4580                  12,041,385
                                                         2,900,997,340                         28-4750                  22,308,500
                                                         1,137,701,953                         28-12474                 33,543,043
                                                         1,693,695,017                         28-4635                  65,863,040
                                                        11,429,921,178                         28-12020                374,596,464
                                                             8,644,137                                                   1,889,962
                                                                                               --------
      GRAND TOTALS                                      32,432,678,437                                               1,006,750,680
   NUMBER OF ISSUES                                              3,253