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

                                    Form 13F

                               Form 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: June 30, 2008

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   August 13, 2008
[Signature]             [City, State]       [Date]

Report Type (Check only one.):

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

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

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

List of Other Managers Reporting for this Manager:

     Form 13F File Number   Name
     28-06548               Church Capital Management, LLC
     28-                    Sterling Financial Trust Company




Page 2

                              Form 13F SUMMARY PAGE

Report Summary:

Number of Other Included Managers: 6

Form 13F Information Table Entry Total: 3,232

Form 13F Information Table Value Total: $33,817,786
                                        (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     28-4750                PNC Bancorp, Inc.
3     28-4580                PNC Bank, Delaware
4     28-5284                PNC Bank, National Association
5     28-12474               PNC Capital Advisors, Inc.
6     28-11439               PNC Equity Securities, LLC






                                                                                                                    FILE NO. 28-1235
PAGE   1 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
DAIMLER AG                   REG SHS        D1668R123        245,323       3,978       X        28-5284      3356                622
                                                             125,313       2,032       X      X 28-5284      1713                319
                                                               4,872          79       X        28-11135       79
                                                              95,589       1,550       X      X 28-4580      1550
DEUTSCHE BANK AG             NAMEN AKT      D18190898        128,196       1,502       X        28-5284       302               1200
                                                              23,898         280       X      X 28-5284       280
                                                              20,569         241       X        28-11135      241
ACE LTD                      ORD            G0070K103        565,003      10,256       X        28-5284      7256               3000
                                                             517,020       9,385       X      X 28-5284      8660                725
                                                           1,361,715      24,718       X        28-11135    24718
AIRCASTLE LTD                COM            G0129K104          1,682         200       X      X 28-5284       200
AMDOCS LTD                   ORD            G02602103        106,853       3,632       X        28-5284      3632
                                                              17,652         600       X      X 28-5284       600
ARCH CAP GROUP LTD           ORD            G0450A105          3,449          52       X        28-5284        52
                                                             588,059       8,867       X      X 28-5284      8867
                                                              27,523         415       X        28-11135      415
ARGO GROUP INTL HLDGS LTD    COM            G0464B107         52,152       1,554       X      X 28-5284      1230                324
ASSURED GUARANTY LTD         COM            G0585R106        226,674      12,600       X        28-5284     12600
ACCENTURE LTD BERMUDA        CL A           G1150G111     20,410,289     501,235       X        28-5284    466845              34390
                                                           6,033,360     148,167       X      X 28-5284    127392      3427    17348
                                                              90,683       2,227       X        28-4580      2227
BROOKFIELD INFRAST PARTNERS  LP INT UNIT    G16252101            588          30       X        28-5284        30
                                                              13,798         704       X      X 28-5284       479                225
                                                                  20           1       X        28-11135        1
                                                               2,666         136       X      X 28-4580       136
BUNGE LIMITED                COM            G16962105        607,264       5,639       X        28-5284       580               5059
                                                             101,659         944       X      X 28-5284       644                300
                                                             180,919       1,680       X        28-11135     1680
CASTLEPOINT HOLDINGS LTD     COM            G19522112        298,397      32,827       X        28-11135    32827
CONSOLIDATED WATER CO INC    ORD            G23773107         19,305         975       X        28-5284       975
   COLUMN TOTAL                                           31,870,490







                                                                                                                    FILE NO. 28-1235
PAGE   2 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
COOPER INDS LTD              CL A           G24182100        336,501       8,519       X        28-5284      7319               1200
                                                             921,417      23,327       X      X 28-5284     21595               1732
                                                               3,160          80       X        28-11135       80
                                                              19,750         500       X        28-4580       500
                                                              79,000       2,000       X      X 28-4580      2000
CREDICORP LTD                COM            G2519Y108        613,436       7,470       X      X 28-5284      7470
COVIDIEN LTD                 COM            G2552X108      1,214,203      25,354       X        28-5284     19182               6172
                                                           1,717,144      35,856       X      X 28-5284     32146      1095     2615
                                                               3,065          64       X        28-11135       64
                                                               5,412         113       X        28-4580       113
                                                              58,043       1,212       X      X 28-4580      1212
ENDURANCE SPECIALTY HLDGS LT SHS            G30397106         75,282       2,445       X        28-5284      2445
                                                              73,126       2,375       X      X 28-5284      1975                400
ENSTAR GROUP LIMITED         SHS            G3075P101        131,250       1,500       X        28-5284      1500
                                                             262,500       3,000       X      X 28-5284      3000
                                                              96,163       1,099       X      X 28-4580      1099
ASA LIMITED                  COM            G3156P103         10,497         124       X        28-5284       124
                                                           4,232,500      50,000       X      X 28-5284     50000
EVEREST RE GROUP LTD         COM            G3223R108         11,159         140       X        28-5284       140
                                                                 319           4       X      X 28-5284         4
                                                             244,949       3,073       X        28-11135     3073
FOSTER WHEELER LTD           *W EXP 09/24/2 G36535121         45,016         200       X        28-5284       200
FOSTER WHEELER LTD           SHS NEW        G36535139        226,253       3,093       X        28-5284      2933                160
                                                               8,047         110       X      X 28-5284       110
FRONTLINE LTD                SHS            G3682E127        135,373       1,940       X        28-5284      1940
                                                              87,434       1,253       X      X 28-5284      1253
                                                             139,560       2,000       X      X 28-4580      2000
GARMIN LTD                   ORD            G37260109        549,337      12,823       X        28-5284     12708                115
                                                           1,229,508      28,700       X      X 28-5284     18125              10575
                                                             301,851       7,046       X        28-11135     7046
HELEN OF TROY CORP LTD       COM            G4388N106          1,338          83       X        28-11135       83
   COLUMN TOTAL                                           12,832,593







                                                                                                                    FILE NO. 28-1235
PAGE   3 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
INGERSOLL-RAND COMPANY LTD   CL A           G4776G101     21,516,261     574,840       X        28-5284    522200              52640
                                                          20,174,246     538,986       X      X 28-5284    499003       475    39508
                                                             117,867       3,149       X        28-11135     3149
                                                             276,346       7,383       X        28-4580      7197                186
                                                             276,907       7,398       X      X 28-4580      6126               1272
INVESCO LTD                  SHS            G491BT108          5,252         219       X        28-5284       219
IPC HLDGS LTD                ORD            G4933P101         10,620         400       X        28-5284       400
JINPAN INTL LTD              ORD            G5138L100        292,560       8,000       X      X 28-5284      8000
KNIGHTSBRIDGE TANKERS LTD    ORD            G5299G106          3,221         100       X      X 28-5284       100
LAZARD LTD                   SHS A          G54050102          1,025          30       X      X 28-5284        30
MARVELL TECHNOLOGY GROUP LTD ORD            G5876H105          1,766         100       X        28-5284       100
                                                              35,320       2,000       X      X 28-5284      2000
                                                             244,573      13,849       X        28-11135    13849
MONTPELIER RE HOLDINGS LTD   SHS            G62185106        563,332      38,192       X        28-11135    38192
NABORS INDUSTRIES LTD        SHS            G6359F103      5,095,059     103,495       X        28-5284     91633              11862
                                                             768,431      15,609       X      X 28-5284     13454               2155
                                                               5,218         106       X        28-11135      106
                                                              10,929         222       X        28-4580       222
NOBLE CORPORATION            SHS            G65422100        229,374       3,531       X        28-5284      3531
                                                           1,550,595      23,870       X      X 28-5284     22870               1000
                                                             235,545       3,626       X        28-11135     3626
                                                              12,472         192       X        28-4580       192
NORDIC AMERICAN TANKER SHIPP COM            G65773106         54,464       1,403       X        28-5284      1403
                                                              81,522       2,100       X      X 28-5284      2100
OPENTV CORP                  CL A           G67543101         29,411      22,451       X      X 28-5284               22379       72
ORIGIN AGRITECH LIMITED      SHS            G67828106          7,176       1,200       X        28-5284      1200
PARTNERRE LTD                COM            G6852T105          1,244          18       X        28-5284        18
                                                               2,973          43       X      X 28-5284        43
                                                               1,383          20       X        28-11135       20
   COLUMN TOTAL                                           51,605,092







                                                                                                                    FILE NO. 28-1235
PAGE   4 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
PLATINUM UNDERWRITER HLDGS L COM            G7127P100          2,446          75       X        28-5284        75
                                                               1,598          49       X        28-11135       49
PRUDENTIAL PLC               PER SUB 6.50%  G7293H189         16,650         900       X        28-5284       900
QIAO XING UNIVERSAL TELEPHON ORD            G7303A109          3,293         750       X        28-5284       750
RENAISSANCERE HOLDINGS LTD   COM            G7496G103         22,335         500       X        28-5284       500
                                                                  89           2       X      X 28-5284         2
SEAGATE TECHNOLOGY           SHS            G7945J104        147,492       7,710       X        28-5284      6140               1570
                                                              65,673       3,433       X      X 28-5284      2963                470
                                                                 574          30       X        28-11135       30
SECURITY CAPITAL ASSURANCE   COM            G8018D107            160         550       X        28-5284       550
SHIP FINANCE INTERNATIONAL L SHS            G81075106         21,616         732       X        28-5284       732
                                                               1,122          38       X      X 28-5284        38
UTI WORLDWIDE INC            ORD            G87210103        162,094       8,125       X        28-5284      8125
                                                             320,457      16,063       X      X 28-5284      4400              11663
                                                               7,980         400       X      X 28-4580       400
TRANSOCEAN INC NEW           SHS            G90073100     50,336,246     330,312       X        28-5284    313757              16555
                                                          20,968,102     137,595       X      X 28-5284    129035      2159     6401
                                                           1,095,836       7,191       X        28-11135     7191
                                                           1,057,587       6,940       X        28-4580      6746                194
                                                             138,675         910       X      X 28-4580       910
TYCO INTL LTD BERMUDA        SHS            G9143X208      3,849,846      96,150       X        28-5284     88848               7302
                                                           2,350,348      58,700       X      X 28-5284     52973      3255     2472
                                                              24,424         610       X        28-11135      610
                                                               9,730         243       X        28-4580       243
                                                              48,528       1,212       X      X 28-4580      1212
TYCO ELECTRONICS LTD         COM NEW        G9144P105      2,475,198      69,101       X        28-5284     62008               7093
                                                           2,048,188      57,180       X      X 28-5284     50448      3987     2745
                                                               2,221          62       X        28-11135       62
                                                               8,704         243       X        28-4580       243
                                                              43,414       1,212       X      X 28-4580      1212
VISTAPRINT LIMITED           SHS            G93762204         26,760       1,000       X        28-5284      1000
                                                              23,549         880       X      X 28-5284       880
   COLUMN TOTAL                                           85,280,935







                                                                                                                    FILE NO. 28-1235
PAGE   5 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
WARNER CHILCOTT LIMITED      COM CL A       G9435N108         55,952       3,301       X        28-5284                         3301
WEATHERFORD INTERNATIONAL LT COM            G95089101     12,537,641     252,826       X        28-5284    238464              14362
                                                           5,939,741     119,777       X      X 28-5284    112614      3278     3885
                                                               3,471          70       X        28-11135       70
                                                              56,632       1,142       X        28-4580      1142
WHITE MTNS INS GROUP LTD     COM            G9618E107         10,725          25       X        28-5284        25
                                                             259,545         605       X      X 28-5284       250                355
WILLIS GROUP HOLDINGS LTD    SHS            G96655108      2,602,267      82,954       X        28-5284     53651              29303
                                                           1,729,459      55,131       X      X 28-5284     18056              37075
                                                                 627          20       X        28-11135       20
XOMA LTD                     ORD            G9825R107          5,070       3,000       X        28-5284      3000
XL CAP LTD                   CL A           G98255105         63,510       3,089       X        28-5284       889               2200
                                                              39,023       1,898       X      X 28-5284      1598                300
ALCON INC                    COM SHS        H01301102     41,136,545     252,697       X        28-5284    242703               9994
                                                          19,639,148     120,641       X      X 28-5284    110984      1429     8228
                                                               3,419          21       X        28-11135       21
                                                             731,741       4,495       X        28-4580      4388                107
                                                             119,976         737       X      X 28-4580       737
LOGITECH INTL S A            SHS            H50430232          3,243         121       X        28-5284       121
                                                             268,858      10,032       X        28-11135    10032
UBS AG                       SHS NEW        H89231338        237,115      11,477       X        28-5284     11471                  6
                                                              86,359       4,180       X      X 28-5284      4078                102
                                                              12,892         624       X        28-11135      624
                                                              65,079       3,150       X      X 28-4580      3150
MILLICOM INTL CELLULAR S A   SHS NEW        L6388F110          5,796          56       X        28-5284        56
                                                             155,250       1,500       X      X 28-5284                         1500
                                                               1,139          11       X        28-11135       11
ALVARION LTD                 SHS            M0861T100         21,180       3,000       X      X 28-5284      3000
CELLCOM ISRAEL LTD           SHS            M2196U109          6,842         200       X        28-5284       200
   COLUMN TOTAL                                           85,798,245







                                                                                                                    FILE NO. 28-1235
PAGE   6 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
CHECK POINT SOFTWARE TECH LT ORD            M22465104        126,327       5,337       X        28-5284      5337
                                                              72,549       3,065       X      X 28-5284      3065
                                                               8,403         355       X        28-11135      355
                                                              53,991       2,281       X      X 28-4580      2281
ECTEL LTD                    ORD            M29925100         18,730       9,858       X      X 28-5284                9858
ELBIT SYS LTD                ORD            M3760D101          5,900         100       X        28-5284       100
                                                           1,823,100      30,900       X      X 28-5284     25400               5500
JACADA LTD                   ORD            M6184R101        159,357      43,900       X      X 28-5284               43900
MIND C T I LTD               ORD            M70240102      1,273,502   1,224,521       X      X 28-5284             1224521
RADVISION LTD                ORD            M81869105        146,160      24,000       X      X 28-5284               24000
TEFRON LTD                   ORD            M87482101         28,800      12,000       X      X 28-5284               12000
ASM INTL N V                 COM            N07045102          2,190          73       X        28-5284        73
ASML HOLDING N V             NY REG SHS     N07059186         23,448         961       X        28-5284       961
CNH GLOBAL N V               SHS NEW        N20935206          3,669         108       X        28-5284       108
CORE LABORATORIES N V        COM            N22717107        116,015         815       X        28-5284       815
                                                           2,031,335      14,270       X      X 28-5284     12190               2080
                                                               6,690          47       X        28-11135       47
QIAGEN N V                   ORD            N72482107         10,206         507       X        28-5284       507
                                                             127,262       6,322       X      X 28-5284      6322
                                                              13,286         660       X        28-11135      660
BANCO LATINOAMERICANO DE EXP CL E           P16994132        282,499      17,449       X        28-11135    17449
STEINER LEISURE LTD          ORD            P8744Y102        206,275       7,276       X        28-11135     7276
EXCEL MARITIME CARRIERS LTD  COM            V3267N107        196,250       5,000       X        28-5284      5000
                                                              78,068       1,989       X      X 28-5284      1989
ROYAL CARIBBEAN CRUISES LTD  COM            V7780T103         86,869       3,866       X        28-5284      3866
                                                              11,123         495       X      X 28-5284       495
                                                             233,868      10,408       X        28-11135    10408
   COLUMN TOTAL                                            7,145,872







                                                                                                                    FILE NO. 28-1235
PAGE   7 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
AEGEAN MARINE PETROLEUM NETW SHS            Y0017S102         82,601       2,030       X      X 28-5284      2030
DIANA SHIPPING INC           COM            Y2066G104        795,972      25,919       X      X 28-5284     25919
DRYSHIPS INC                 SHS            Y2109Q101          4,009          50       X        28-5284        50
                                                              56,126         700       X      X 28-5284       700
DOUBLE HULL TANKERS INC      COM            Y21110104        150,450      15,000       X      X 28-5284     15000
EAGLE BULK SHIPPING INC      COM            Y2187A101         65,054       2,200       X        28-5284      2200
                                                             415,459      14,050       X      X 28-5284     14050
                                                               2,957         100       X      X 28-4580       100
FLEXTRONICS INTL LTD         ORD            Y2573F102      7,804,961     830,315       X        28-5284    760500              69815
                                                           1,020,426     108,556       X      X 28-5284     91773              16783
GENCO SHIPPING & TRADING LTD SHS            Y2685T107        550,288       8,440       X      X 28-5284      8440
                                                              88,607       1,359       X        28-11135     1359
GENERAL MARITIME CORP        SHS            Y2692M103          9,093         350       X      X 28-5284       350
NAVIOS MARITIME HOLDINGS INC COM            Y62196103          1,095         113       X        28-11135      113
SEASPAN CORP                 SHS            Y75638109         26,422       1,100       X        28-5284      1100
                                                             551,860      22,975       X      X 28-5284     14000               8975
                                                              72,060       3,000       X        28-4580                         3000
STAR BULK CARRIERS CORP      COM            Y8162K105         58,950       5,000       X        28-5284      5000
STAR BULK CARRIERS CORP      *W EXP 12/16/2 Y8162K113         77,200      20,000       X        28-5284     20000
TEEKAY LNG PARTNERS L P      PRTNRSP UNITS  Y8564M105         55,293       2,100       X      X 28-5284       100               2000
TEEKAY CORPORATION           COM            Y8564W103          4,518         100       X        28-5284       100
VERIGY LTD                   SHS            Y93691106         68,198       3,003       X        28-5284      2888                115
                                                             110,212       4,853       X      X 28-5284      4375                478
                                                                 136           6       X        28-11135        6
AAR CORP                     COM            000361105          3,924         290       X        28-5284                          290
                                                              20,295       1,500       X      X 28-5284                         1500
   COLUMN TOTAL                                           12,096,166







                                                                                                                    FILE NO. 28-1235
PAGE   8 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
ABB LTD                      SPONSORED ADR  000375204     36,917,782   1,303,594       X        28-5284   1243310              60284
                                                          19,169,072     676,874       X      X 28-5284    633754      6332    36788
                                                             409,167      14,448       X        28-11135    14448
                                                             908,137      32,067       X        28-4580     31685                382
                                                              94,136       3,324       X      X 28-4580      3324
ACCO BRANDS CORP             COM            00081T108         33,387       2,973       X        28-5284      2973
                                                             100,733       8,970       X      X 28-5284      8615                355
                                                                 258          23       X        28-4580        23
                                                                 584          52       X      X 28-4580        52
A C MOORE ARTS & CRAFTS INC  COM            00086T103          4,230         600       X      X 28-5284       600
A D C TELECOMMUNICATIONS     COM NEW        000886309        208,257      14,100       X      X 28-5284       550              13550
ABM INDS INC                 COM            000957100          7,120         320       X        28-5284                          320
AFLAC INC                    COM            001055102      7,227,338     115,085       X        28-5284     98863              16222
                                                           5,205,743      82,894       X      X 28-5284     67407       825    14662
                                                             531,414       8,462       X        28-11135     8462
AGCO CORP                    COM            001084102            577          11       X        28-11135       11
AGL RES INC                  COM            001204106         92,363       2,671       X        28-5284      1150               1521
                                                             253,402       7,328       X      X 28-5284      5378               1950
A H BELO CORP                COM CL A       001282102            194          34       X        28-5284        34
AES CORP                     COM            00130H105        148,839       7,748       X        28-5284      6900                848
                                                             169,663       8,832       X      X 28-5284      8832
                                                                 115           6       X        28-11135        6
AK STL HLDG CORP             COM            001547108        209,622       3,038       X        28-5284      3038
                                                             144,900       2,100       X      X 28-5284      2100
AMB PROPERTY CORP            COM            00163T109        443,596       8,805       X        28-5284      8805
                                                              26,198         520       X      X 28-5284       520
AMAG PHARMACEUTICALS INC     COM            00163U106         17,050         500       X        28-5284       500
AMR CORP                     COM            001765106          1,024         200       X        28-5284       200
                                                                 307          60       X      X 28-5284        60
   COLUMN TOTAL                                           72,325,208







                                                                                                                    FILE NO. 28-1235
PAGE   9 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
APP PHARMACEUTICALS INC      COM            00202H108          5,016         300       X      X 28-5284       300
AT&T INC                     COM            00206R102    157,805,543   4,684,047       X        28-5284   4437974             246073
                                                         116,477,178   3,457,322       X      X 28-5284   3140014     25747   291561
                                                           2,099,729      62,325       X        28-11135    62325
                                                           4,809,584     142,760       X        28-4580    142555                205
                                                           3,861,784     114,627       X      X 28-4580    112704       425     1498
ATMI INC                     COM            00207R101          7,538         270       X        28-5284                          270
ATP OIL & GAS CORP           COM            00208J108             39           1       X        28-11135        1
A S DAMPSKIBSSELSKABET TORM  SPONSORED ADR  00208W109          5,146         147       X        28-5284       147
ATC TECHNOLOGY CORP          COM            00211W104      1,280,400      55,000       X      X 28-5284     55000
AU OPTRONICS CORP            SPONSORED ADR  002255107          9,932         627       X        28-5284       627
                                                             786,076      49,626       X      X 28-5284     49626
AVX CORP NEW                 COM            002444107         13,572       1,200       X      X 28-5284                         1200
AXT INC                      COM            00246W103          8,380       2,000       X      X 28-5284      2000
AARON RENTS INC              COM            002535201          8,977         402       X        28-5284                          402
ABBOTT LABS                  COM            002824100     72,312,101   1,365,152       X        28-5284   1307621              57531
                                                         113,176,550   2,136,616       X      X 28-5284   1995700      9143   131773
                                                           1,039,483      19,624       X        28-11135    19624
                                                           1,562,456      29,497       X        28-4580     29497
                                                           2,804,603      52,947       X      X 28-4580     51625      1322
ABERCROMBIE & FITCH CO       CL A           002896207     13,501,147     215,398       X        28-5284    204402              10996
                                                           5,426,897      86,581       X      X 28-5284     81646      1878     3057
                                                             262,128       4,182       X        28-11135     4182
                                                             379,715       6,058       X        28-4580      5999                 59
                                                              69,324       1,106       X      X 28-4580      1106
ABERDEEN ASIA PACIFIC INCOM  COM            003009107         74,341      12,349       X      X 28-5284      9849               2500
ABERDEEN AUSTRALIA EQTY FD I COM            003011103          7,720         500       X        28-5284       500
ABIOMED INC                  COM            003654100        418,900      23,600       X      X 28-5284     23600
   COLUMN TOTAL                                          498,214,259







                                                                                                                    FILE NO. 28-1235
PAGE  10 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
ABRAXIS BIOSCIENCE INC NEW   COM            00383Y102          4,760          75       X      X 28-5284        75
ACADIA PHARMACEUTICALS INC   COM            004225108            738         200       X      X 28-5284       200
ACCENTIA BIOPHARMACEUTICALS  COM            00430L103          5,150       5,000       X        28-5284      5000
ACCESS INTEGRATED TECHNLGS I CL A           004329108          8,440       4,000       X        28-5284      4000
ACERGY S A                   SPONSORED ADR  00443E104          4,853         218       X        28-5284       218
                                                              11,130         500       X      X 28-5284       500
ACME UTD CORP                COM            004816104        486,150      35,000       X        28-5284                        35000
ACTIVISION INC NEW           COM NEW        004930202        259,647       7,621       X        28-5284      7621
                                                                 681          20       X      X 28-5284        20
ACTEL CORP                   COM            004934105          3,033         180       X        28-5284                          180
ACTIVE POWER INC             COM            00504W100          4,687       4,006       X      X 28-5284      4006
ACTIVIDENTITY CORP           COM            00506P103         54,600      20,000       X      X 28-5284               20000
ACTUANT CORP                 CL A NEW       00508X203         12,477         398       X        28-5284       350                 48
                                                             148,913       4,750       X      X 28-5284      4750
                                                                 219           7       X        28-11135        7
ACUITY BRANDS INC            COM            00508Y102         16,347         340       X        28-5284                          340
                                                              28,848         600       X      X 28-5284       600
ADAMS EXPRESS CO             COM            006212104         21,330       1,800       X        28-5284      1800
                                                              23,297       1,966       X      X 28-5284      1966
ADAPTEC INC                  COM            00651F108          2,144         670       X        28-5284                          670
                                                             140,784      43,995       X      X 28-5284               43995
ADMINISTAFF INC              COM            007094105          5,020         180       X        28-5284                          180
                                                                 976          35       X        28-11135       35
ADOBE SYS INC                COM            00724F101      2,749,619      69,805       X        28-5284     57282              12523
                                                           1,622,907      41,201       X      X 28-5284     36884               4317
                                                               4,530         115       X        28-11135      115
   COLUMN TOTAL                                            5,621,280







                                                                                                                    FILE NO. 28-1235
PAGE  11 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
ADTRAN INC                   COM            00738A106         17,165         720       X        28-5284       720
                                                              73,904       3,100       X      X 28-5284      3100
ADVANCE AUTO PARTS INC       COM            00751Y106         69,467       1,789       X      X 28-5284      1789
                                                               4,970         128       X        28-11135      128
ADVANCED ANALOGIC TECHNOLOGI COM            00752J108          2,065         500       X        28-5284       500
ADVANTAGE ENERGY INCOME FD   TR UNIT        00762L101        157,136      12,200       X        28-5284     10200               2000
                                                              37,352       2,900       X      X 28-5284      2900
ADVANTEST CORP               SPON ADR NEW   00762U200         11,709         556       X        28-5284       556
                                                             113,577       5,393       X        28-11135     5393
ADVANCED MEDICAL OPTICS INC  COM            00763M108         10,513         561       X        28-5284       561
                                                              85,080       4,540       X      X 28-5284      4540
                                                                 993          53       X      X 28-4580        53
ADVENT CLAYMORE CV SECS & IN COM            00764C109          7,384         332       X        28-5284       332
                                                              22,240       1,000       X      X 28-5284      1000
AECOM TECHNOLOGY CORP DELAWA COM            00766T100         11,223         345       X        28-5284       345
AEROPOSTALE                  COM            007865108         59,903       1,912       X        28-5284      1912
                                                               5,733         183       X      X 28-5284       183
ADVANCED MICRO DEVICES INC   COM            007903107         10,203       1,750       X        28-5284      1750
AEGON N V                    NY REGISTRY SH 007924103        418,681      31,936       X        28-5284     31936
                                                           2,774,994     211,670       X      X 28-5284    202816      1001     7853
                                                             414,145      31,590       X        28-11135    31590
ADVANTA CORP                 CL A           007942105      4,939,990     899,816       X        28-5284     10176             889640
ADVANTA CORP                 CL B           007942204        978,145     155,508       X        28-5284    155508
ADVANCED ENERGY INDS         COM            007973100          3,699         270       X        28-5284                          270
                                                             439,482      32,079       X        28-11135    32079
ADVENT SOFTWARE INC          COM            007974108         43,404       1,203       X        28-5284                         1203
AEROVIRONMENT INC            COM            008073108         73,386       2,700       X      X 28-5284                         2700
   COLUMN TOTAL                                           10,786,543







                                                                                                                    FILE NO. 28-1235
PAGE  12 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
AES TR III                   PFD CV 6.75%   00808N202         72,375       1,500       X        28-5284      1500
                                                             102,773       2,130       X      X 28-5284      2130
                                                               4,825         100       X        28-11135      100
AETNA INC NEW                COM            00817Y108        782,553      19,308       X        28-5284     17218               2090
                                                           2,543,825      62,764       X      X 28-5284     62564                200
                                                              37,936         936       X        28-11135      936
AFFILIATED COMPUTER SERVICES CL A           008190100      1,613,633      30,167       X        28-5284     30167
                                                           1,222,247      22,850       X      X 28-5284     22850
                                                               2,995          56       X        28-11135       56
AFFILIATED MANAGERS GROUP    COM            008252108         38,276         425       X        28-5284       425
                                                              10,537         117       X        28-11135      117
AFFYMETRIX INC               COM            00826T108          4,137         402       X        28-5284       402
AGILENT TECHNOLOGIES INC     COM            00846U101      1,280,542      36,031       X        28-5284     33721               2310
                                                           4,019,929     113,110       X      X 28-5284    108047       305     4758
                                                               2,026          57       X        28-11135       57
                                                              34,474         970       X      X 28-4580       610       360
AGILYSYS INC                 COM            00847J105         90,720       8,000       X      X 28-5284      8000
AGNICO EAGLE MINES LTD       COM            008474108        194,106       2,610       X        28-5284      1000               1610
                                                             327,972       4,410       X      X 28-5284      4160                250
AGRIUM INC                   COM            008916108         43,016         400       X        28-5284       400
                                                           1,658,267      15,420       X      X 28-5284     15420
                                                              83,128         773       X        28-11135      773
AIR METHODS CORP             COM PAR $.06   009128307         36,100       1,444       X        28-11135     1444
AIR PRODS & CHEMS INC        COM            009158106     34,772,127     351,731       X        28-5284    336754              14977
                                                          31,503,815     318,671       X      X 28-5284    282304      7375    28992
                                                              28,373         287       X        28-11135      287
                                                             287,683       2,910       X        28-4580      2910
                                                             477,790       4,833       X      X 28-4580      4833
AIRGAS INC                   COM            009363102         94,709       1,622       X        28-5284      1622
                                                             670,784      11,488       X      X 28-5284     11488
                                                             707,453      12,116       X        28-11135    12116
   COLUMN TOTAL                                           82,749,126







                                                                                                                    FILE NO. 28-1235
PAGE  13 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
AIXTRON AKTIENGESELLSCHAFT   SPONSORED ADR  009606104          9,096         884       X        28-5284       884
AKAMAI TECHNOLOGIES INC      COM            00971T101        931,885      26,786       X        28-5284     23426               3360
                                                              40,356       1,160       X      X 28-5284      1160
                                                             821,079      23,601       X        28-11135    23601
ALABAMA AIRCRAFT IND INC     COM            01023E100          2,112       1,399       X      X 28-5284                1399
ALASKA AIR GROUP INC         COM            011659109        881,897      57,490       X        28-5284     53578               3912
                                                              65,195       4,250       X      X 28-5284      4250
ALASKA COMMUNICATIONS SYS GR COM            01167P101          5,970         500       X      X 28-5284       500
ALBEMARLE CORP               COM            012653101        107,877       2,703       X        28-5284      2703
                                                             103,886       2,603       X      X 28-5284      1003               1600
                                                              19,636         492       X        28-11135      492
ALBERTO CULVER CO NEW        COM            013078100          1,182          45       X        28-5284        45
                                                               5,911         225       X      X 28-5284       225
ALCOA INC                    COM            013817101     10,877,885     305,387       X        28-5284    290012              15375
                                                          12,811,695     359,677       X      X 28-5284    337648              22029
                                                             294,613       8,271       X        28-11135     8271
                                                             139,630       3,920       X        28-4580      3920
                                                             290,980       8,169       X      X 28-4580      8169
ALCATEL-LUCENT               SPONSORED ADR  013904305         82,084      13,590       X        28-5284     12946                644
                                                             195,551      32,376       X      X 28-5284     31932                444
                                                              53,333       8,830       X        28-11135     8830
                                                              35,636       5,900       X        28-11439     5900
                                                               1,208         200       X        28-4580       200
                                                               1,884         312       X      X 28-4580       312
ALDILA INC                   COM NEW        014384200          3,600         625       X        28-5284       625
                                                             138,056      23,968       X      X 28-5284               23968
ALEXANDER & BALDWIN INC      COM            014482103        104,765       2,300       X        28-5284      2300
                                                             449,579       9,870       X      X 28-5284      8100               1770
ALESCO FINL INC              COM            014485106            608         304       X        28-5284       304
                                                              10,000       5,000       X      X 28-5284      5000
   COLUMN TOTAL                                           28,487,189







                                                                                                                    FILE NO. 28-1235
PAGE  14 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
ALEXANDRIA REAL ESTATE EQ IN COM            015271109        923,757       9,490       X        28-5284      9490
                                                              55,484         570       X      X 28-5284       570
ALFACELL CORP                COM            015404106          4,136       9,400       X        28-5284      9400
ALICO INC                    COM            016230104        430,824      12,430       X      X 28-5284               12430
ALIGN TECHNOLOGY INC         COM            016255101         83,427       7,953       X        28-5284      7953
                                                             544,431      51,900       X      X 28-5284     20900              31000
ALKERMES INC                 COM            01642T108          3,708         300       X        28-5284       300
                                                                 729          59       X        28-11135       59
ALLEGHANY CORP DEL           COM            017175100          4,981          15       X        28-5284        15
                                                          38,583,214     116,197       X      X 28-5284     78485              37712
ALLEGHENY ENERGY INC         COM            017361106        287,180       5,731       X        28-5284      5731
                                                           3,666,398      73,167       X      X 28-5284      2792              70375
                                                               5,011         100       X      X 28-4580       100
ALLEGHENY TECHNOLOGIES INC   COM            01741R102      2,217,606      37,409       X        28-5284     36767                642
                                                           3,179,483      53,635       X      X 28-5284     52880                755
                                                              14,346         242       X        28-11439      242
                                                              24,898         420       X        28-4580       420
                                                               8,892         150       X      X 28-4580       150
ALLERGAN INC                 COM            018490102     17,212,831     330,698       X        28-5284    322959               7739
                                                          16,825,631     323,259       X      X 28-5284    319184       600     3475
                                                             259,261       4,981       X        28-11135     4981
                                                             570,728      10,965       X        28-4580     10765                200
                                                             413,069       7,936       X      X 28-4580      7936
ALLETE INC                   COM NEW        018522300        211,554       5,037       X      X 28-5284      1287               3750
                                                              53,928       1,284       X        28-11135     1284
ALLIANCE DATA SYSTEMS CORP   COM            018581108        142,280       2,516       X        28-5284      2516
                                                             111,404       1,970       X      X 28-5284      1970
ALLIANCE HOLDINGS GP LP      COM UNITS LP   01861G100          4,472         150       X        28-5284       150
                                                           1,332,805      44,710       X      X 28-5284     44710
ALLIANCEBERNSTEIN NATL MUNI  COM            01864U106          6,021         436       X      X 28-5284       436
   COLUMN TOTAL                                           87,182,489







                                                                                                                    FILE NO. 28-1235
PAGE  15 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
ALLIANCE FIBER OPTIC PRODS I COM            018680108      1,366,845     983,342       X      X 28-5284              983342
ALLIANCE RES PARTNER L P     UT LTD PART    01877R108        171,940       3,088       X        28-5284      3088
                                                              55,680       1,000       X      X 28-5284      1000
ALLIANCEBERNSTEIN GBL HGH IN COM            01879R106        162,408      12,708       X        28-5284     12708
                                                             123,723       9,681       X      X 28-5284      9681
ALLIANT ENERGY CORP          COM            018802108         37,172       1,085       X        28-5284       785                300
                                                             320,365       9,351       X      X 28-5284      4051               5300
ALLIANT TECHSYSTEMS INC      COM            018804104        159,638       1,570       X        28-5284      1570
                                                             406,822       4,001       X      X 28-5284         1               4000
ALLIANZ SE                   SP ADR 1/10 SH 018805101         71,266       4,084       X        28-5284      4084
                                                              35,319       2,024       X      X 28-5284      2024
                                                             540,008      30,946       X        28-11135    30946
ALLIANCEBERNSTEIN INCOME FUN COM            01881E101        243,231      29,881       X        28-5284     29881
                                                             725,217      89,093       X      X 28-5284     25927              63166
ALLIANCEBERNSTEIN HOLDING LP UNIT LTD PARTN 01881G106        232,007       4,243       X        28-5284      3243               1000
                                                           1,989,969      36,393       X      X 28-5284     36193                200
                                                              21,653         396       X        28-11135      396
ALLIED CAP CORP NEW          COM            01903Q108        324,470      23,360       X        28-5284      1540              21820
                                                             233,810      16,833       X      X 28-5284     16833
                                                              24,974       1,798       X        28-4580      1798
ALLIED IRISH BKS P L C       SPON ADR ORD   019228402      1,687,415      54,804       X        28-5284     49760               5044
                                                           2,781,045      90,323       X      X 28-5284     90323
                                                             324,804      10,549       X        28-11135    10549
                                                              22,661         736       X        28-4580       736
ALLIED WASTE INDS INC        COM PAR$.01NEW 019589308        171,165      13,563       X        28-5284      3463              10100
                                                               9,250         733       X      X 28-5284       733
                                                                 833          66       X        28-11135       66
ALLSCRIPTS HEALTHCARE SOLUTI COM            01988P108          3,723         300       X        28-5284       300
                                                              52,743       4,250       X      X 28-5284      4250
   COLUMN TOTAL                                           12,300,156







                                                                                                                    FILE NO. 28-1235
PAGE  16 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
ALLSTATE CORP                COM            020002101     16,654,574     365,312       X        28-5284    328069              37243
                                                          17,786,711     390,145       X      X 28-5284    374884       125    15136
                                                           1,088,416      23,874       X        28-11135    23874
                                                             346,530       7,601       X        28-4580      7601
                                                              72,215       1,584       X      X 28-4580      1584
ALMOST FAMILY INC            COM            020409108      4,012,264     150,837       X        28-4580    150837
ALPHA NATURAL RESOURCES INC  COM            02076X102        285,025       2,733       X        28-5284      2733
                                                              62,574         600       X      X 28-5284                          600
ALPHARMA INC                 CL A           020813101          8,516         378       X        28-5284        38                340
                                                              11,265         500       X        28-4580       500
ALPINE GLOBAL PREMIER PPTYS  COM SBI        02083A103         22,308       2,056       X      X 28-5284      2056
ALPINE TOTAL DYNAMIC DIVID F COM SBI        021060108            149          10       X        28-5284        10
ALSIUS CORPORATION           COM            021211107            505         421       X      X 28-5284                 421
ALTAIR NANOTECHNOLOGIES INC  COM            021373105          1,700       1,000       X        28-5284      1000
                                                              30,600      18,000       X      X 28-5284                        18000
                                                               2,550       1,500       X      X 28-4580      1500
ALTERA CORP                  COM            021441100      1,244,815      60,136       X        28-5284     12836              47300
                                                             643,770      31,100       X      X 28-5284                        31100
ALTRIA GROUP INC             COM            02209S103     27,133,443   1,319,720       X        28-5284   1189342       259   130119
                                                          84,551,890   4,112,446       X      X 28-5284   1617862      2525  2492059
                                                             447,920      21,786       X        28-11135    21786
                                                           1,114,969      54,230       X        28-4580     54230
                                                             916,729      44,588       X      X 28-4580     44588
ALTUS PHARMACEUTICALS INC    COM            02216N105         15,575       3,500       X        28-5284      3500
ALUMINA LTD                  SPONSORED ADR  022205108         16,217         895       X        28-5284       895
ALUMINUM CORP CHINA LTD      SPON ADR H SHS 022276109            913          32       X        28-5284        32
AMAZON COM INC               COM            023135106      2,726,336      37,179       X        28-5284     33809               3370
                                                             512,357       6,987       X      X 28-5284      5487               1500
                                                                 660           9       X        28-11135        9
                                                              21,999         300       X        28-4580       300
   COLUMN TOTAL                                          159,733,495







                                                                                                                    FILE NO. 28-1235
PAGE  17 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
AMBAC FINL GROUP INC         COM            023139108            670         500       X        28-5284       500
                                                                  11           8       X      X 28-5284         8
AMCOL INTL CORP              COM            02341W103         18,499         650       X        28-5284       650
AMEDISYS INC                 COM            023436108         11,798         234       X      X 28-5284       234
                                                               2,521          50       X        28-11135       50
AMEREN CORP                  COM            023608102        649,455      15,379       X        28-5284      6879               8500
                                                             434,209      10,282       X      X 28-5284     10282
                                                             110,431       2,615       X      X 28-4580      2615
AMERICA MOVIL SAB DE CV      SPON ADR L SHS 02364W105     11,933,844     226,234       X        28-5284    216872               9362
                                                           4,722,549      89,527       X      X 28-5284     81103       180     8244
                                                                 369           7       X        28-11135        7
                                                              94,423       1,790       X        28-4580      1790
                                                              65,938       1,250       X      X 28-4580      1250
AMERICA MOVIL SAB DE CV      SPON ADR A SHS 02364W204        169,135       3,225       X        28-5284      3225
AMERICAN AXLE & MFG HLDGS IN COM            024061103            423          53       X        28-11135       53
AMERICAN BANCORP N J INC     COM            02407E104        306,900      30,000       X      X 28-5284     30000
AMER BIO MEDICA CORP         COM            024600108          2,700       5,000       X      X 28-5284      5000
AMERICAN CAMPUS CMNTYS INC   COM            024835100        336,808      12,098       X        28-5284     12098
                                                              44,850       1,611       X      X 28-5284      1611
                                                               1,587          57       X        28-4580        57
AMERICAN CAPITAL STRATEGIES  COM            024937104        431,045      18,134       X        28-5284       634              17500
                                                             270,550      11,382       X      X 28-5284      9982               1400
                                                              87,474       3,680       X        28-11135     3680
AMERICAN EAGLE OUTFITTERS NE COM            02553E106         99,635       7,310       X        28-5284      7310
                                                               8,860         650       X      X 28-5284       150                500
                                                             154,387      11,327       X        28-11135    11327
AMERICAN ECOLOGY CORP        COM NEW        025533407          3,544         120       X        28-5284       120
                                                           1,774,753      60,100       X      X 28-5284     60100
   COLUMN TOTAL                                           21,737,368







                                                                                                                    FILE NO. 28-1235
PAGE  18 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
AMERICAN ELEC PWR INC        COM            025537101      1,745,580      43,390       X        28-5284     37331               6059
                                                           3,024,129      75,171       X      X 28-5284     32595              42576
                                                              67,868       1,687       X        28-4580      1687
                                                              71,489       1,777       X      X 28-4580      1235                542
AMERICAN EQTY INVT LIFE HLD  COM            025676206          1,475         181       X        28-5284       181
AMERICAN EXPRESS CO          COM            025816109     24,400,629     647,747       X        28-5284    616184              31563
                                                          22,147,323     587,930       X      X 28-5284    524743       975    62212
                                                              56,204       1,492       X        28-11135     1492
                                                             188,275       4,998       X        28-4580      4998
                                                             273,108       7,250       X      X 28-4580      7250
AMERICAN FINL GROUP INC OHIO COM            025932104        136,104       5,088       X        28-5284       238               4850
AMERICAN GREETINGS CORP      CL A           026375105         11,205         908       X        28-5284       908
                                                               2,468         200       X      X 28-5284       200
AMERICAN INCOME FD INC       COM            02672T109        324,625      43,750       X      X 28-5284                        43750
AMERICAN INDEPENDENCE CORP   COM NEW        026760405        229,857      36,198       X      X 28-5284               36198
AMERICAN INTL GROUP INC      COM            026874107     37,970,418   1,435,012       X        28-5284   1314309             120703
                                                          29,592,970   1,118,404       X      X 28-5284   1025030      6725    86649
                                                             587,862      22,217       X        28-11135    22217
                                                             459,743      17,375       X        28-4580     17375
                                                             168,180       6,356       X      X 28-4580      6356
AMERICAN LD LEASE INC        COM            027118108          1,159          61       X      X 28-5284        61
AMERICAN MED SYS HLDGS INC   COM            02744M108         73,255       4,900       X      X 28-5284      4900
AMERICAN NATL INS CO         COM            028591105         19,604         200       X      X 28-5284       200
AMERICAN OIL & GAS INC NEW   COM            028723104          9,800       2,500       X      X 28-5284      2500
AMERICAN ORIENTAL BIOENGR IN COM            028731107            987         100       X        28-5284       100
                                                               1,105         112       X        28-11135      112
AMERICAN RAILCAR INDS INC    COM            02916P103         25,170       1,500       X      X 28-5284                         1500
AMERICAN SCIENCE & ENGR INC  COM            029429107         36,071         700       X      X 28-5284       700
   COLUMN TOTAL                                          121,626,663







                                                                                                                    FILE NO. 28-1235
PAGE  19 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
AMERICAN SELECT PORTFOLIO IN COM            029570108        331,230      30,500       X      X 28-5284                        30500
AMERICAN STS WTR CO          COM            029899101          8,735         250       X        28-5284       100                150
                                                              41,928       1,200       X      X 28-5284                         1200
                                                              17,470         500       X        28-4580       500
AMERICAN TOWER CORP          NOTE  3.000% 8 029912AR3     10,401,000       5,000       X        28-11439     5000
AMERICAN TOWER CORP          CL A           029912201      2,318,891      54,885       X        28-5284     53879               1006
                                                             684,746      16,207       X      X 28-5284      7707       100     8400
                                                              70,980       1,680       X        28-11135     1680
                                                             160,550       3,800       X        28-11439     3800
                                                               8,788         208       X        28-4580       208
AMERICAN STRATEGIC INCOME II COM            03009T101        534,864      52,800       X      X 28-5284                        52800
AMERICAN STRATEGIC INCM PTFL COM            030098107        131,200      12,800       X      X 28-5284                        12800
AMERN STRATEGIC INCOME PTFL  COM            030099105        633,708      60,700       X      X 28-5284                        60700
AMERICAN SUPERCONDUCTOR CORP COM            030111108        466,050      13,000       X      X 28-5284     10000               3000
AMERICREDIT CORP             NOTE  0.750%   03060RAP6        288,857         500       X       28-11439       500
AMERICASBANK CORP            COM NEW        03061G302         28,770      68,500       X      X 28-5284     68500
AMERISTAR CASINOS INC        COM            03070Q101         46,988       3,400       X      X 28-5284      3400
AMERISAFE INC                COM            03071H100         77,213       4,844       X        28-11135     4844
AMERISOURCEBERGEN CORP       COM            03073E105        188,113       4,704       X        28-5284      1504               3200
                                                             110,132       2,754       X      X 28-5284      2754
                                                             153,602       3,841       X        28-11135     3841
AMERIGROUP CORP              COM            03073T102            666          32       X        28-11135       32
AMERITYRE CORP               COM            03073V107          5,306       3,960       X        28-5284      3960
                                                              13,400      10,000       X      X 28-5284     10000
AMERIPRISE FINL INC          COM            03076C106      1,127,047      27,712       X        28-5284     19050               8662
                                                           1,050,913      25,840       X      X 28-5284     22750               3090
                                                                  81           2       X        28-11135        2
                                                               3,660          90       X      X 28-4580        90
   COLUMN TOTAL                                           18,904,888







                                                                                                                    FILE NO. 28-1235
PAGE  20 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
AMERIGAS PARTNERS L P        UNIT L P INT   030975106         60,515       1,900       X        28-5284      1900
                                                             154,473       4,850       X      X 28-5284      4850
AMETEK INC NEW               COM            031100100        278,551       5,899       X        28-5284      5899
                                                           3,189,711      67,550       X      X 28-5284     67550
                                                              28,757         609       X        28-11135      609
AMGEN INC                    COM            031162100     18,489,927     392,068       X        28-5284    365801              26267
                                                          10,284,417     218,075       X      X 28-5284    176537      1242    40296
                                                              48,386       1,026       X        28-11135     1026
                                                             179,208       3,800       X        28-4580      3800
                                                             803,371      17,035       X      X 28-4580     17035
AMKOR TECHNOLOGY INC         COM            031652100        452,835      43,500       X      X 28-5284     43500
AMPAL AMERN ISRAEL CORP      CL A           032015109         19,037       4,221       X      X 28-5284      4221
AMPCO-PITTSBURGH CORP        COM            032037103         71,168       1,600       X      X 28-5284       600               1000
AMPHENOL CORP NEW            CL A           032095101     11,661,440     259,836       X        28-5284    248484              11352
                                                           9,302,322     207,271       X      X 28-5284    201926      1305     4040
                                                             247,064       5,505       X        28-11135     5505
                                                              34,109         760       X        28-4580       760
                                                              62,832       1,400       X      X 28-4580      1400
AMSURG CORP                  COM            03232P405         23,741         975       X        28-5284       975
AMYLIN PHARMACEUTICALS INC   COM            032346108        144,469       5,690       X      X 28-5284      5690
ANADARKO PETE CORP           COM            032511107      6,888,797      92,047       X        28-5284     91281                766
                                                           8,965,757     119,799       X      X 28-5284    116293      1000     2506
                                                              83,521       1,116       X        28-11135     1116
                                                              90,556       1,210       X        28-4580      1210
                                                               4,490          60       X      X 28-4580        60
ANALOG DEVICES INC           COM            032654105        390,326      12,286       X        28-5284     12086                200
                                                             691,601      21,769       X      X 28-5284      9958              11811
ANALOGIC CORP                COM PAR $0.05  032657207         23,777         377       X        28-5284                          377
ANCHOR BANCORP WIS INC       COM            032839102            981         140       X        28-5284                          140
ANESIVA INC COM              COM            03460L100        286,846      97,236       X      X 28-5284               97236
   COLUMN TOTAL                                           72,962,985







                                                                                                                    FILE NO. 28-1235
PAGE  21 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
ANGELICA CORP                COM            034663104          1,489          70       X        28-5284                           70
ANGLO AMERN PLC              ADR NEW        03485P201        339,576       9,579       X        28-5284      6645               2934
                                                           1,938,654      54,687       X      X 28-5284     53587               1100
ANGLOGOLD ASHANTI LTD        RIGHT 06/23/20 035128115          1,351         233       X      X 28-5284       110                123
ANGLOGOLD ASHANTI LTD        SPONSORED ADR  035128206         66,081       1,947       X      X 28-5284      1322                625
ANHEUSER BUSCH COS INC       COM            035229103     17,733,831     285,477       X        28-5284    274357              11120
                                                          22,119,131     356,071       X      X 28-5284    341093       325    14653
                                                               3,479          56       X        28-11135       56
                                                           1,044,858      16,820       X        28-4580     16820
                                                             211,208       3,400       X      X 28-4580      3400
ANIKA THERAPEUTICS INC       COM            035255108        130,568      15,200       X        28-5284     15200
                                                              28,347       3,300       X      X 28-5284      3300
ANIXTER INTL INC             COM            035290105         22,487         378       X        28-5284       128                250
ANNALY CAP MGMT INC          COM            035710409        519,663      33,505       X        28-5284     33505
                                                             537,747      34,671       X      X 28-5284     34671
                                                             133,774       8,625       X        28-11135     8625
ANSOFT CORP                  COM            036384105        189,899       5,217       X        28-5284      5217
ANSYS INC                    COM            03662Q105        137,119       2,910       X        28-5284      2300                610
                                                           1,983,752      42,100       X      X 28-5284     35600               6500
                                                             364,049       7,726       X        28-11135     7726
ANTHRACITE CAP INC           COM            037023108         22,000       3,125       X        28-5284      3125
                                                             373,824      53,100       X      X 28-5284     53100
ANTIGENICS INC DEL           COM            037032109          1,930       1,000       X        28-5284      1000
AON CORP                     COM            037389103        610,313      13,285       X        28-5284     13285
                                                           1,945,881      42,357       X      X 28-5284     42357
                                                              62,846       1,368       X        28-11135     1368
APACHE CORP                  COM            037411105     12,936,591      93,069       X        28-5284     58233              34836
                                                          15,585,236     112,124       X      X 28-5284     86775              25349
                                                           1,485,354      10,686       X        28-11135    10686
                                                              46,565         335       X        28-4580       335
   COLUMN TOTAL                                           80,577,603







                                                                                                                    FILE NO. 28-1235
PAGE  22 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
APARTMENT INVT & MGMT CO     CL A           03748R101         10,627         312       X        28-5284       312
                                                                 341          10       X      X 28-5284        10
APCO ARGENTINA INC CAYMAN IS ORD            037489101         14,475         500       X        28-5284       500
APOGEE ENTERPRISES INC       COM            037598109          3,555         220       X        28-5284                          220
                                                              16,160       1,000       X      X 28-5284      1000
APOLLO GROUP INC             CL A           037604105        575,601      13,005       X        28-5284      9210               3795
                                                             219,618       4,962       X      X 28-5284      2607               2355
APOLLO INVT CORP             COM            03761U106         71,650       5,000       X        28-5284      5000
                                                             144,733      10,100       X      X 28-5284     10100
                                                               1,490         104       X        28-11135      104
                                                              28,130       1,963       X      X 28-4580      1963
APPLE INC                    COM            037833100     84,793,793     506,413       X        28-5284    483419              22994
                                                          37,461,686     223,732       X      X 28-5284    213316      1776     8640
                                                           2,260,607      13,501       X        28-11135    13501
                                                           2,116,274      12,639       X        28-4580     12456                183
                                                             719,155       4,295       X      X 28-4580      4145       150
APPLERA CORP                 COM CELERA GRP 038020202         12,496       1,100       X        28-5284      1100
                                                               4,544         400       X      X 28-5284       400
APPLIED INDL TECHNOLOGIES IN COM            03820C105         19,747         817       X        28-5284       535                282
                                                             130,881       5,415       X      X 28-5284      5415
                                                              58,975       2,440       X        28-11135     2440
APPLIED MICRO CIRCUITS CORP  COM NEW        03822W406          3,124         365       X        28-5284       365
APPLIED MATLS INC            COM            038222105      7,221,480     378,286       X        28-5284    360806              17480
                                                           3,776,097     197,805       X      X 28-5284    189240      2000     6565
                                                              29,780       1,560       X        28-11135     1560
APTARGROUP INC               COM            038336103          1,259          30       X        28-5284        30
                                                              83,900       2,000       X      X 28-5284      2000
AQUA AMERICA INC             COM            03836W103      1,362,640      85,325       X        28-5284     85325
                                                           2,050,548     128,400       X      X 28-5284    121990               6410
                                                               5,318         333       X        28-4580       333
   COLUMN TOTAL                                          143,198,684







                                                                                                                    FILE NO. 28-1235
PAGE  23 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
AQUILA INC                   COM            03840P102          2,077         551       X        28-5284       551
                                                              37,700      10,000       X      X 28-5284                        10000
ARACRUZ CELULOSE S A         SPON ADR PFD B 038496204         20,916         285       X      X 28-5284       285
ARBINET THEXCHANGE INC       COM            03875P100      1,259,700     324,665       X      X 28-5284              324665
ARBITRON INC                 COM            03875Q108         10,925         230       X        28-5284                          230
ARC WIRELESS SOLUTIONS INC   COM NEW        03878K207         49,965      10,862       X      X 28-5284               10862
ARCH CHEMICALS INC           COM            03937R102          6,630         200       X        28-5284                          200
                                                             243,387       7,342       X      X 28-5284      7342
ARCELORMITTAL SA LUXEMBOURG  NY REGISTRY SH 03938L104        273,235       2,758       X        28-5284       258               2500
                                                              70,439         711       X      X 28-5284       711
ARCH COAL INC                COM            039380100        998,199      13,304       X        28-5284     12962                342
                                                              82,308       1,097       X      X 28-5284       397                700
                                                               3,902          52       X        28-11135       52
ARCHER DANIELS MIDLAND CO    COM            039483102      8,020,316     237,639       X        28-5284    218429              19210
                                                           5,018,558     148,698       X      X 28-5284    133648      3400    11650
                                                             390,083      11,558       X        28-11135    11558
                                                             341,516      10,119       X        28-4580     10119
                                                              61,391       1,819       X      X 28-4580      1819
ARCTIC CAT INC               COM            039670104            628          80       X        28-5284                           80
ARENA RESOURCES INC          COM            040049108        404,020       7,649       X        28-11135     7649
ARES CAP CORP                COM            04010L103         40,320       4,000       X      X 28-5284      4000
                                                              56,559       5,611       X        28-11135     5611
ARIAD PHARMACEUTICALS INC    COM            04033A100         12,000       5,000       X        28-5284      5000
                                                              42,310      17,629       X      X 28-5284     17629
ARIBA INC                    COM NEW        04033V203          2,442         166       X        28-5284       166
ARKANSAS BEST CORP DEL       COM            040790107          9,160         250       X        28-5284        40                210
                                                               3,664         100       X      X 28-5284       100
                                                                 366          10       X        28-11135       10
   COLUMN TOTAL                                           17,462,716







                                                                                                                    FILE NO. 28-1235
PAGE  24 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
ARM HLDGS PLC                SPONSORED ADR  042068106         18,243       3,584       X        28-5284      3584
ARMSTRONG WORLD INDS INC NEW COM            04247X102          1,052          36       X        28-5284        36
AROTECH CORP                 COM NEW        042682203            262         131       X      X 28-5284       131
ARQULE INC                   COM            04269E107            715         220       X        28-5284                          220
ARRIS GROUP INC              COM            04269Q100          1,952         231       X      X 28-5284       231
ARRAY BIOPHARMA INC          COM            04269X105         23,500       5,000       X        28-5284      5000
                                                              14,100       3,000       X      X 28-5284      3000
ARROW ELECTRS INC            COM            042735100        104,018       3,386       X        28-5284       286               3100
                                                              77,568       2,525       X      X 28-5284       725               1800
                                                               2,089          68       X        28-11135       68
ARROWHEAD RESH CORP          COM            042797100          2,490       1,000       X        28-5284      1000
ART TECHNOLOGY GROUP INC     COM            04289L107          4,160       1,300       X        28-5284      1300
ARTESIAN RESOURCES CORP      CL A           043113208         53,975       2,935       X        28-5284      2935
                                                              37,700       2,050       X      X 28-5284      2050
ARTHROCARE CORP              COM            043136100         37,137         910       X        28-5284       700                210
ARVINMERITOR INC             COM            043353101         31,063       2,489       X        28-5284      2489
                                                              11,519         923       X      X 28-5284       923
ASBURY AUTOMOTIVE GROUP INC  COM            043436104            977          76       X        28-5284        76
ASHFORD HOSPITALITY TR INC   COM SHS        044103109        158,004      34,200       X      X 28-5284     34200
                                                              35,357       7,653       X        28-11135     7653
ASHLAND INC NEW              COM            044209104         96,496       2,002       X        28-5284      2002
                                                              73,505       1,525       X      X 28-5284      1525
ASIA TIGERS FD INC           COM            04516T105          6,606         300       X        28-5284       300
ASPENBIO PHARMA INC          COM            045346103          6,380       1,000       X        28-5284      1000
                                                               9,570       1,500       X      X 28-5284      1500
   COLUMN TOTAL                                              808,438







                                                                                                                    FILE NO. 28-1235
PAGE  25 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
ASSOCIATED BANC CORP         COM            045487105        329,936      17,104       X        28-5284     16255                849
                                                             578,083      29,968       X      X 28-5284     13258      4500    12210
ASSURANT INC                 COM            04621X108        410,931       6,230       X        28-5284        48               6182
                                                                 264           4       X      X 28-5284         4
                                                               1,847          28       X        28-11135       28
ASTEC INDS INC               COM            046224101          4,821         150       X        28-5284                          150
                                                              53,449       1,663       X        28-11135     1663
ASTORIA FINL CORP            COM            046265104            462          23       X        28-5284        23
                                                                 161           8       X      X 28-5284         8
                                                               7,169         357       X        28-11135      357
ASTRAZENECA PLC              SPONSORED ADR  046353108         18,756         441       X        28-5284       441
                                                             379,750       8,929       X      X 28-5284      8329                600
                                                              83,571       1,965       X        28-11135     1965
ASYST TECHNOLOGY CORP        COM            04648X107         34,975       9,797       X      X 28-5284                9797
ATHEROS COMMUNICATIONS INC   COM            04743P108         18,000         600       X      X 28-5284       600
                                                               1,230          41       X        28-11135       41
ATLANTIC TELE NETWORK INC    COM NEW        049079205            193           7       X        28-11135        7
ATLAS AMER INC               COM            049167109        584,884      12,983       X        28-5284     12983
                                                              75,143       1,668       X      X 28-5284      1668
ATLAS ENERGY RESOURCES LLC   COM            049303100          7,630         200       X        28-5284       200
ATLAS PIPELINE PARTNERS LP   UNIT L P INT   049392103         59,137       1,514       X        28-5284      1514
ATMEL CORP                   COM            049513104        330,600      95,000       X      X 28-5284     95000
ATMOS ENERGY CORP            COM            049560105        182,238       6,610       X        28-5284      5260               1350
                                                             111,107       4,030       X      X 28-5284      2820               1210
ATWOOD OCEANICS INC          COM            050095108        142,618       1,147       X        28-5284       927                220
                                                           2,859,820      23,000       X      X 28-5284     23000
                                                             264,471       2,127       X        28-11135     2127
AUDIOVOX CORP                CL A           050757103          1,080         110       X        28-5284                          110
   COLUMN TOTAL                                            6,542,326







                                                                                                                    FILE NO. 28-1235
PAGE  26 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
AUTODESK INC                 COM            052769106        800,722      23,683       X        28-5284     20493               3190
                                                           1,052,505      31,130       X      X 28-5284     19045              12085
                                                              54,231       1,604       X        28-11135     1604
AUTOLIV INC                  COM            052800109        412,074       8,839       X        28-5284      6559               2280
                                                             206,060       4,420       X      X 28-5284      4300                120
AUTOMATIC DATA PROCESSING IN COM            053015103     32,250,556     769,703       X        28-5284    738068              31635
                                                          25,609,364     611,202       X      X 28-5284    564890      5187    41125
                                                              25,308         604       X        28-11135      604
                                                             430,397      10,272       X        28-4580     10272
                                                             219,975       5,250       X      X 28-4580      5250
AUTOZONE INC                 COM            053332102         44,411         367       X        28-5284       367
                                                              48,404         400       X      X 28-5284       400
                                                             169,172       1,398       X        28-11135     1398
AVANEX CORP                  COM            05348W109          1,809       1,601       X      X 28-5284                1601
AVALONBAY CMNTYS INC         COM            053484101          7,044          79       X        28-5284        79
                                                              17,832         200       X      X 28-5284       200
AVATAR HLDGS INC             COM            053494100        832,975      27,500       X      X 28-5284     27500
                                                              60,580       2,000       X        28-4580                         2000
AVERY DENNISON CORP          COM            053611109      2,629,826      59,864       X        28-5284     52587               7277
                                                           1,995,081      45,415       X      X 28-5284     44295               1120
                                                              21,965         500       X      X 28-4580       500
AVID TECHNOLOGY INC          COM            05367P100          4,519         266       X        28-5284                          266
                                                              11,893         700       X        28-4580       700
                                                               6,796         400       X      X 28-4580       400
AVIS BUDGET GROUP            COM            053774105         58,548       6,995       X        28-5284      1695               5300
                                                               7,977         953       X      X 28-5284       953
AVISTA CORP                  COM            05379B107          7,726         360       X        28-5284                          360
AVNET INC                    COM            053807103        150,804       5,528       X        28-5284      2128               3400
                                                               4,447         163       X      X 28-5284       163
AVOCENT CORP                 COM            053893103          1,339          72       X        28-5284        72
   COLUMN TOTAL                                           67,144,340







                                                                                                                    FILE NO. 28-1235
PAGE  27 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
AVON PRODS INC               COM            054303102        694,574      19,283       X        28-5284     18783                500
                                                             858,537      23,835       X      X 28-5284      5613              18222
AXA                          SPONSORED ADR  054536107         71,932       2,445       X        28-5284      2445
                                                              29,361         998       X      X 28-5284       787                211
                                                             438,535      14,906       X        28-11135    14906
AXCELIS TECHNOLOGIES INC     COM            054540109         11,688       2,395       X        28-5284      1805                590
                                                              35,648       7,305       X      X 28-5284      7305
AXSYS TECHNOLOGIES INC       COM            054615109         65,050       1,250       X        28-5284      1250
BB&T CORP                    COM            054937107      4,284,107     188,147       X        28-5284    155735              32412
                                                             349,770      15,361       X      X 28-5284     13928               1433
                                                               5,055         222       X        28-11135      222
                                                             223,852       9,831       X        28-4580      9831
B & G FOODS INC NEW          UNIT 99/99/999 05508R205         17,000       1,000       X      X 28-5284      1000
                                                              76,500       4,500       X        28-4580                         4500
BCE INC                      COM NEW        05534B760         75,712       2,175       X        28-5284       575               1600
                                                              26,421         759       X      X 28-5284       759
                                                               2,089          60       X        28-11135       60
BHP BILLITON PLC             SPONSORED ADR  05545E209         44,938         580       X        28-5284       580
                                                                 465           6       X      X 28-5284         6
BJS WHOLESALE CLUB INC       COM            05548J106         70,241       1,815       X        28-5284                         1815
BJ SVCS CO                   COM            055482103      1,226,943      38,414       X        28-5284     36039               2375
                                                             112,493       3,522       X      X 28-5284      3522
BP PLC                       SPONSORED ADR  055622104    129,929,976   1,867,615       X        28-5284   1787054              80561
                                                         146,431,423   2,104,807       X      X 28-5284   1824324     12455   268028
                                                             487,616       7,009       X        28-11135     7009
                                                           2,174,341      31,254       X        28-4580     31254
                                                           8,360,366     120,172       X      X 28-4580     71218      1000    47954
BP PRUDHOE BAY RTY TR        UNIT BEN INT   055630107        288,891       2,795       X        28-5284      2795
                                                              96,538         934       X      X 28-5284       934
BPZ RESOURCES INC            COM            055639108         15,435         525       X        28-5284       525
   COLUMN TOTAL                                          296,505,497







                                                                                                                    FILE NO. 28-1235
PAGE  28 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
BRE PROPERTIES INC           CL A           05564E106         58,341       1,348       X        28-5284      1348
                                                             255,352       5,900       X      X 28-5284      5900
BRT RLTY TR                  SH BEN INT NEW 055645303         11,940         995       X        28-5284       995
BMP SUNSTONE CORP            COM            05569C105         19,950       3,500       X        28-5284      3500
BT GROUP PLC                 ADR            05577E101          5,960         150       X      X 28-5284       150
                                                             385,381       9,700       X        28-11135     9700
BMC SOFTWARE INC             COM            055921100         64,872       1,802       X        28-5284      1802
                                                               9,720         270       X      X 28-5284       270
                                                             353,412       9,817       X        28-11135     9817
BAIDU COM INC                SPON ADR REP A 056752108          3,130          10       X        28-5284        10
BAKER HUGHES INC             COM            057224107      5,466,349      62,587       X        28-5284     53630               8957
                                                           4,963,096      56,825       X      X 28-5284     50885               5940
                                                             676,361       7,744       X        28-11135     7744
                                                             116,686       1,336       X        28-4580      1336
                                                             132,582       1,518       X      X 28-4580      1518
BALDOR ELEC CO               COM            057741100         12,943         370       X        28-5284                          370
                                                              17,490         500       X      X 28-5284       500
BALL CORP                    COM            058498106      2,184,296      45,754       X        28-5284     42954               2800
                                                           2,141,139      44,850       X      X 28-5284     42255               2595
                                                               4,631          97       X        28-11135       97
                                                              14,322         300       X        28-4580       300
                                                             120,305       2,520       X      X 28-4580      2520
BALLARD PWR SYS INC          COM            05858H104          4,587       1,100       X      X 28-5284      1100
BALLY TECHNOLOGIES INC       COM            05874B107          6,760         200       X        28-5284       200
BANCFIRST CORP               COM            05945F103        143,294       3,348       X        28-11135     3348
BANCO BILBAO VIZCAYA ARGENTA SPONSORED ADR  05946K101         78,688       4,148       X        28-5284      4148
                                                              25,742       1,357       X        28-11135     1357
BANCO BRADESCO S A           SP ADR PFD NEW 059460303        153,450       7,500       X        28-5284      7500
                                                                 675          33       X        28-11135       33
   COLUMN TOTAL                                           17,431,454







                                                                                                                    FILE NO. 28-1235
PAGE  29 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
BANCO ITAU HLDG FINANCIERA S SP ADR 500 PFD 059602201        152,325       7,500       X        28-5284      7500
BANCO SANTANDER SA           ADR            05964H105        308,157      16,941       X        28-5284     16941
                                                              12,587         692       X      X 28-5284       692
                                                             510,266      28,052       X        28-11135    28052
BANCORPSOUTH INC             COM            059692103         62,964       3,600       X        28-5284      3600
BANCROFT FUND LTD            COM            059695106      1,664,766      91,976       X        28-5284     91976
BANK OF AMERICA CORPORATION  COM            060505104    105,589,040   4,423,504       X        28-5284   4162928       460   260116
                                                         111,124,374   4,655,399       X      X 28-5284   4481252     24085   150062
                                                             734,313      30,763       X        28-11135    30763
                                                           2,337,374      97,921       X        28-4580     97341                580
                                                             998,864      41,846       X      X 28-4580     40966       378      502
BANK FLA CORP NAPLES         COM            062128103          3,625         500       X        28-5284       500
BANK HAWAII CORP             COM            062540109         28,680         600       X        28-5284       600
                                                              95,600       2,000       X      X 28-5284      2000
BANK OF NEW YORK MELLON CORP COM            064058100     32,512,691     859,442       X        28-5284    807673              51769
                                                          10,935,329     289,065       X      X 28-5284    263044      8109    17912
                                                             280,623       7,418       X        28-11135     7418
                                                             509,003      13,455       X        28-4580     11946               1509
                                                             142,089       3,756       X      X 28-4580      3756
BANK NOVA SCOTIA HALIFAX     COM            064149107      5,182,242     113,100       X        28-5284    113100
                                                              13,746         300       X      X 28-5284       300
BANK SOUTH CAROLINA CORP     COM            065066102          3,548         275       X      X 28-5284       275
BANNER CORP                  COM            06652V109         26,864       3,032       X        28-4580      3032
BAR HBR BANKSHARES           COM            066849100         55,760       2,000       X      X 28-5284      2000
BARCLAYS BK PLC              DJAIG CMDTY 36 06738C778      1,832,229      25,622       X        28-5284     23801               1821
                                                           4,152,657      58,071       X      X 28-5284     57771       300
                                                             744,133      10,406       X        28-4580      8406               2000
                                                           1,720,459      24,059       X      X 28-4580     23500                559
   COLUMN TOTAL                                          281,734,308







                                                                                                                    FILE NO. 28-1235
PAGE  30 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
BARCLAYS BK PLC              IPGS CRUDOIL36 06738C786         78,690         935       X        28-5284       935
                                                               2,946          35       X      X 28-5284        35
BARCLAYS PLC                 ADR            06738E204         76,835       3,319       X        28-5284      3319
                                                              18,890         816       X      X 28-5284       816
                                                              74,867       3,234       X        28-11135     3234
BARD C R INC                 COM            067383109     32,949,324     374,637       X        28-5284    362610              12027
                                                          16,292,210     185,244       X      X 28-5284    174978      2845     7421
                                                              16,183         184       X        28-11135      184
                                                           1,026,201      11,668       X        28-4580     11518                150
                                                             230,693       2,623       X      X 28-4580      2623
BARCLAYS BK PLC              ETN IPTH NCKL  06739F119          3,411         100       X        28-5284       100
BARCLAYS BK PLC              IP MSCI IND 36 06739F291        100,339       1,920       X        28-5284      1095                825
                                                             182,910       3,500       X      X 28-5284      3500
BARCLAYS BK PLC              ADR 2 PREF 2   06739F390         52,704       2,700       X        28-5284      2700
                                                              15,616         800       X      X 28-5284       800
BARCLAYS BANK PLC            ETN IPTH AGRI  06739H206          6,693         100       X        28-5284       100
                                                             595,677       8,900       X      X 28-4580      8900
BARCLAYS BANK PLC            ETN IPTH GRNS  06739H305         14,425         200       X      X 28-5284                          200
BARCLAYS BANK PLC            ADS7.75%PFD S4 06739H511         11,325         500       X        28-5284       500
                                                              18,120         800       X      X 28-5284       800
BARNES & NOBLE INC           COM            067774109         26,082       1,050       X        28-5284      1050
                                                              11,476         462       X        28-11135      462
BARNES GROUP INC             COM            067806109          8,082         350       X        28-5284                          350
                                                              76,197       3,300       X      X 28-4580      3300
BARRICK GOLD CORP            COM            067901108        333,151       7,322       X        28-5284      5822               1500
                                                           2,773,680      60,960       X      X 28-5284     60960
                                                               9,100         200       X        28-11135      200
BARR PHARMACEUTICALS INC     COM            068306109        708,162      15,709       X        28-5284     15259                450
                                                             394,991       8,762       X      X 28-5284      7762               1000
                                                              10,909         242       X        28-11135      242
   COLUMN TOTAL                                           56,119,889







                                                                                                                    FILE NO. 28-1235
PAGE  31 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
BASIC ENERGY SVCS INC NEW    COM            06985P100          1,512          48       X        28-5284        48
BASSETT FURNITURE INDS INC   COM            070203104            826          70       X        28-5284                           70
BAXTER INTL INC              COM            071813109     41,677,435     651,821       X        28-5284    619907              31914
                                                          22,016,908     344,337       X      X 28-5284    316091      3971    24275
                                                              55,884         874       X        28-11135      874
                                                             549,820       8,599       X        28-4580      8349                250
                                                             507,428       7,936       X      X 28-4580      7936
BAY NATL CORP                COM            072500101         25,740       3,300       X        28-5284                         3300
                                                              94,700      12,141       X      X 28-5284     12141
BAYTEX ENERGY TR             TRUST UNIT     073176109         68,560       2,000       X        28-5284      2000
                                                              70,274       2,050       X      X 28-5284      2050
BE AEROSPACE INC             COM            073302101     15,025,776     645,160       X        28-5284    645160
                                                               2,096          90       X        28-11135       90
BEACON POWER CORP            COM            073677106          1,073         516       X      X 28-5284       516
BEARINGPOINT INC             COM            074002106             22          27       X      X 28-5284        27
                                                                 104         128       X        28-11135      128
BEAZER HOMES USA INC         COM            07556Q105         46,231       8,300       X        28-11439     8300
BECKMAN COULTER INC          COM            075811109        628,299       9,304       X        28-5284      5904               3400
                                                             790,911      11,712       X      X 28-5284      8857               2855
                                                              11,750         174       X      X 28-4580       174
BECTON DICKINSON & CO        COM            075887109     20,350,366     250,312       X        28-5284    231238              19074
                                                          10,894,850     134,008       X      X 28-5284    111745      2128    20135
                                                             158,210       1,946       X        28-11135     1946
                                                             191,624       2,357       X        28-4580      2357
                                                               4,065          50       X      X 28-4580        50
BED BATH & BEYOND INC        COM            075896100      1,142,349      40,653       X        28-5284     35878               4775
                                                           1,074,094      38,224       X      X 28-5284     31079       250     6895
                                                               4,749         169       X        28-11135      169
                                                               5,620         200       X        28-4580       200
                                                              88,515       3,150       X      X 28-4580      3150
   COLUMN TOTAL                                          115,489,791







                                                                                                                    FILE NO. 28-1235
PAGE  32 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
BEL FUSE INC                 CL B           077347300          2,718         110       X        28-5284                          110
BELDEN INC                   COM            077454106          2,439          72       X        28-5284        72
                                                             193,455       5,710       X        28-11135     5710
BELO CORP                    COM SER A      080555105          5,848         800       X        28-5284       800
BEMIS INC                    COM            081437105        647,691      28,889       X        28-5284     28889
                                                             762,818      34,024       X      X 28-5284      5984              28040
                                                               3,789         169       X        28-11135      169
BENCHMARK ELECTRS INC        COM            08160H101          8,660         530       X        28-5284                          530
                                                             154,086       9,430       X        28-11135     9430
BENEFICIAL MUTUAL BANCORP IN COM            08173R104      2,165,192     195,591       X        28-5284    195591
                                                              85,383       7,713       X      X 28-5284      7713
BERKLEY W R CORP             COM            084423102        108,720       4,500       X        28-5284      4500
                                                               1,812          75       X      X 28-5284        75
                                                               1,595          66       X        28-11135       66
                                                           1,609,950      66,637       X        28-4580     66637
BERKSHIRE HATHAWAY INC DEL   CL A           084670108              0          64       X        28-5284        59                  5
                                                                   0       2,720       X      X 28-5284      1937       288      495
                                                                   0          10       X      X 28-4580        10
BERKSHIRE HATHAWAY INC DEL   CL B           084670207     32,100,012       8,001       X        28-5284      7031                970
                                                          34,920,448       8,704       X      X 28-5284      7220        62     1422
                                                              12,036           3       X        28-11135        3
                                                             581,740         145       X        28-4580       145
                                                             120,360          30       X      X 28-4580        30
BERRY PETE CO                CL A           085789105        897,920      15,250       X      X 28-5284     14100               1150
                                                              13,071         222       X        28-11135      222
BEST BUY INC                 COM            086516101      8,007,516     202,210       X        28-5284    184738              17472
                                                           3,312,184      83,641       X      X 28-5284     79896       150     3595
                                                             541,926      13,685       X        28-11135    13685
                                                              91,476       2,310       X        28-4580      2310
                                                              24,354         615       X      X 28-4580       615
BEVERLY NATL CORP            COM            088115100        432,808      21,859       X      X 28-5284     21859
   COLUMN TOTAL                                           86,810,007







                                                                                                                    FILE NO. 28-1235
PAGE  33 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
BHP BILLITON LTD             SPONSORED ADR  088606108        721,048       8,464       X        28-5284      7964                500
                                                           1,608,813      18,885       X      X 28-5284     16285               2600
                                                              81,953         962       X        28-11135      962
                                                             230,013       2,700       X        28-4580      2700
BIDZ COM INC                 COM            08883T200         34,840       4,000       X        28-5284                         4000
BIG 5 SPORTING GOODS CORP    COM            08915P101            939         124       X        28-5284       124
                                                              52,990       7,000       X      X 28-5284                7000
BIO RAD LABS INC             CL A           090572207        242,670       3,000       X      X 28-5284      3000
BIOMARIN PHARMACEUTICAL INC  COM            09061G101         86,940       3,000       X        28-5284      3000
BIOGEN IDEC INC              COM            09062X103        576,449      10,314       X        28-5284      5174               5140
                                                             176,445       3,157       X      X 28-5284      3157
                                                               4,080          73       X        28-11135       73
BIOMED REALTY TRUST INC      COM            09063H107          4,906         200       X        28-5284       200
                                                              49,060       2,000       X      X 28-5284      2000
BIOTECH HOLDRS TR            DEPOSTRY RCPTS 09067D201        101,388         600       X        28-5284       600
                                                             321,062       1,900       X      X 28-5284       900               1000
BIOVAIL CORP                 COM            09067J109        144,750      15,000       X      X 28-5284     15000
BLACK & DECKER CORP          COM            091797100      1,486,864      25,854       X        28-5284     20716               5138
                                                           1,047,315      18,211       X      X 28-5284     15896               2315
                                                               5,751         100       X        28-4580       100
                                                              14,378         250       X      X 28-4580       250
BLACK BOX CORP DEL           COM            091826107          4,350         160       X        28-5284                          160
                                                              16,314         600       X      X 28-5284                          600
                                                                 408          15       X        28-11135       15
BLACKROCK GLOBAL FLG INC TR  COM            091941104         60,803       4,100       X      X 28-5284      4100
BLACK HILLS CORP             COM            092113109         57,708       1,800       X      X 28-5284      1800
BLACKROCK FLA INVT QUALITY M COM            09247B109        199,337      18,389       X      X 28-5284     18389
BLACKROCK INVT QUALITY MUN T COM            09247D105        196,101      14,398       X        28-5284     14398
   COLUMN TOTAL                                            7,527,675







                                                                                                                    FILE NO. 28-1235
PAGE  34 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
BLACKROCK NY INVT QUALITY MU COM            09247E103        169,358      12,686       X        28-5284     12686
                                                              20,025       1,500       X      X 28-5284      1500
BLACKROCK INCOME TR INC      COM            09247F100          2,772         469       X        28-5284       469
                                                             161,934      27,400       X      X 28-5284                        27400
BLACKROCK CA INSD MUN 2008 T COM            09247G108        809,505      53,967       X        28-5284     53967
BLACKROCK FL INSD MUN 2008 T COM            09247H106         59,513       4,043       X        28-5284      4043
BLACKROCK INSD MUN 2008 TRM  COM            09247K109         89,685       5,983       X        28-5284      5825                158
                                                             186,685      12,454       X      X 28-5284       454              12000
BLACKROCK INC                COM            09247X101     42,452,565     239,845       X        28-5284    239845
                                                           1,189,440       6,720       X      X 28-5284      6350                370
                                                       7,632,481,782  43,121,366       X        28-4750  43121366
BLACKROCK INSD MUN TERM TR I COM            092474105         16,080       1,600       X        28-5284      1600
                                                             180,900      18,000       X      X 28-5284                        18000
BLACKROCK INCOME OPP TRUST I COM            092475102          4,880         500       X        28-5284       500
                                                             119,072      12,200       X      X 28-5284                        12200
BLACKROCK INSD MUN INCOME TR COM            092479104         95,256       7,333       X        28-5284      7333
BLACKROCK MUNI 2018 TERM TR  COM            09248C106         18,117       1,199       X        28-5284      1199
BLACKROCK MUN INCOME TR      SH BEN INT     09248F109        134,137       9,973       X        28-5284      9973
                                                              72,630       5,400       X      X 28-5284      5400
BLACKROCK N J MUN INCOME TR  SH BEN INT     09248J101         33,118       2,166       X        28-5284      2166
                                                             206,751      13,522       X      X 28-5284     13522
BLACKROCK N Y MUN INCOME TR  SH BEN INT     09248L106          1,525         100       X        28-5284       100
BLACKROCK PA STRATEGIC MUN T COM            09248R103        187,623      14,601       X        28-5284     14601
                                                             334,447      26,027       X      X 28-5284     26027
BLACKROCK STRATEGIC MUN TR   COM            09248T109          1,302         100       X        28-5284       100
                                                             126,945       9,750       X      X 28-5284      9750
BLACKROCK NJ MUNICIPAL BOND  COM            09249A109         56,438       3,572       X      X 28-5284      3572
   COLUMN TOTAL                                        7,679,212,485







                                                                                                                    FILE NO. 28-1235
PAGE  35 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
BLACKROCK CORE BD TR         SHS BEN INT    09249E101        123,072      10,537       X        28-5284     10537
                                                             211,408      18,100       X      X 28-5284                        18100
BLACKROCK FL MUNICIPAL BOND  COM            09249K107         19,089       1,333       X        28-5284      1333
BLACKROCK MUNI INCOME TR II  COM            09249N101         50,024       3,700       X      X 28-5284      3700
BLACKROCK NY INS MUN INC TR  COM            09249U105          9,665         733       X        28-5284       733
BLACKROCK PFD OPPORTUNITY TR COM SHS        09249V103         36,855       2,100       X        28-5284      2100
BLACKROCK LTD DURATION INC T COM SHS        09249W101         22,950       1,500       X        28-5284      1500
                                                              15,300       1,000       X      X 28-5284      1000
BLACKROCK STRAT DIVD ACHIEVE COM            09249Y107         11,419       1,098       X      X 28-5284      1098
BLACKROCK LONG-TERM MUNI ADV COM            09250B103         22,260       2,000       X        28-5284      2000
BLACKROCK HIGH INCOME SHS    SHS BEN INT    09250E107         22,755      11,100       X      X 28-5284                        11100
BLACKROCK WORLD INVT TR      COM SHS BN INT 09250K103         32,473       2,071       X      X 28-5284      2071
BLACKROCK DIVID ACHIEVRS TM  COM            09250N107         69,682       7,060       X        28-5284      7060
                                                              49,084       4,973       X      X 28-5284      4973
BLACKROCK GLBL ENRGY & RES T COM            09250U101        152,624       4,105       X        28-5284      4105
                                                              18,590         500       X      X 28-5284       500
BLACKROCK ENHANCED DIV ACHV  COM            09251A104         44,132       4,400       X        28-5284      4400
                                                             113,841      11,350       X      X 28-5284     11350
BLACKSTONE GROUP L P         COM UNIT LTD   09253U108         51,443       2,825       X        28-5284      2825
                                                           2,205,231     121,100       X      X 28-5284    120400                700
BLACKROCK MUNIYIELD FD INC   COM            09253W104         85,628       6,487       X        28-5284      6487
                                                             227,924      17,267       X      X 28-5284     16342                925
BLACKROCK MUNYIELD INSD FD I COM            09254E103         24,560       2,000       X        28-5284      2000
                                                              51,158       4,166       X      X 28-5284      4166
BLACKROCK MUNIYIELD QUALITY  COM            09254F100         27,937       2,166       X      X 28-5284      2166
   COLUMN TOTAL                                            3,699,104







                                                                                                                    FILE NO. 28-1235
PAGE  36 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
BLACKROCK MUNIYIELD ARIZ FD  COM            09254K109        101,439       7,627       X        28-5284      7627
                                                              58,041       4,364       X      X 28-5284      4364
BLACKROCK MUNIYIELD CALIF IN COM            09254N103         27,989       2,259       X        28-5284      2259
BLACKROCK MUNIHOLDINGS FLA I COM            09254P108        111,671       9,337       X      X 28-5284      9337
BLACKROCK MUNIHOLDINGS N J I COM            09254X101         68,364       5,275       X        28-5284      5275
BLACKROCK MUNIYIELD N J FD I COM            09254Y109        460,680      33,000       X        28-5284     33000
BLACKROCK GBL EQTY INCOME TR COM            09255D104         27,860       2,000       X        28-5284      2000
BLACKROCK MUNIYIELD PA INSD  COM            09255G107        779,985      60,984       X        28-5284     60984
                                                             297,163      23,234       X      X 28-5284     23234
BLACKROCK PFD INCOME STRATEG COM            09255H105          1,524         100       X        28-5284       100
                                                              30,480       2,000       X      X 28-5284      2000
BLACKROCK PFD & CORPORATE IN COM            09255J101         30,560       2,000       X      X 28-5284      2000
BLACKROCK ENHANCED GOVT FD I COM            09255K108         43,810       2,600       X      X 28-5284                         2600
BLACKROCK CORPOR HIGH YLD FD COM            09255L106          3,310         500       X      X 28-5284                          500
BLACKROCK CORPOR HI YLD FD V COM            09255N102         92,334       8,440       X        28-5284      8440
BLACKROCK DEBT STRAT FD INC  COM            09255R103        107,968      20,181       X        28-5284     20181
                                                               1,075         201       X      X 28-5284       201
BLACKROCK SR HIGH INCOME FD  COM            09255T109         23,600       5,000       X        28-5284      5000
BLACKROCK FLOAT RATE OME STR COM            09255X100         90,120       6,000       X        28-5284      6000
                                                              23,281       1,550       X      X 28-5284                1550
BLACKROCK FL RATE OME STRA I COM SHS        09255Y108        219,406      14,875       X      X 28-5284      1775     13100
BLDRS INDEX FDS TR           EMER MK 50 ADR 09348R300         81,840       1,600       X      X 28-5284      1600
BLOCK H & R INC              COM            093671105        613,945      28,689       X        28-5284     28089                600
                                                             532,667      24,891       X      X 28-5284     24891
                                                             107,000       5,000       X        28-4580      5000
   COLUMN TOTAL                                            3,936,112







                                                                                                                    FILE NO. 28-1235
PAGE  37 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
BLOCKBUSTER INC              CL A           093679108          1,300         520       X        28-5284       520
BLOCKBUSTER INC              CL B           093679207          1,050         520       X        28-5284       520
BLYTH INC                    COM            09643P108          6,015         500       X      X 28-5284       500
BOARDWALK PIPELINE PARTNERS  UT LTD PARTNER 096627104          7,047         300       X        28-5284       300
                                                              14,094         600       X      X 28-5284       600
BOEING CO                    COM            097023105      8,845,123     134,588       X        28-5284    117822              16766
                                                          15,666,925     238,389       X      X 28-5284    229867        50     8472
                                                             239,681       3,647       X        28-11135     3647
                                                             325,314       4,950       X        28-4580      4950
                                                             151,156       2,300       X      X 28-4580      2300
BOIS D ARC ENERGY INC        COM            09738U103      1,125,553      46,300       X      X 28-5284     46300
BOLT TECHNOLOGY CORP         COM            097698104          1,693          75       X        28-5284        75
BORDERS GROUP INC            COM            099709107         10,800       1,800       X        28-5284                         1800
                                                               1,800         300       X      X 28-5284       300
BORGWARNER INC               COM            099724106         71,896       1,620       X        28-5284      1620
                                                              65,771       1,482       X      X 28-5284       658                824
                                                               9,586         216       X        28-11135      216
BOSTON BEER INC              CL A           100557107         10,170         250       X        28-5284       250
BOSTON PRIVATE FINL HLDGS IN COM            101119105          1,644         290       X        28-5284                          290
                                                              17,577       3,100       X      X 28-5284      3100
BOSTON PROPERTIES INC        COM            101121101      5,984,744      66,335       X        28-5284     65555                780
                                                           5,274,983      58,468       X      X 28-5284     57758                710
                                                               9,022         100       X        28-4580       100
BOSTON SCIENTIFIC CORP       COM            101137107      7,752,999     630,838       X        28-5284    539192              91646
                                                           1,584,611     128,935       X      X 28-5284    112453      1700    14782
                                                              17,022       1,385       X        28-11135     1385
BOWNE & CO INC               COM            103043105          2,423         190       X        28-5284                          190
                                                                 332          26       X        28-11135       26
   COLUMN TOTAL                                           47,200,331







                                                                                                                    FILE NO. 28-1235
PAGE  38 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
BOYD GAMING CORP             COM            103304101            791          63       X        28-5284        63
                                                                  25           2       X      X 28-5284         2
BRADY CORP                   CL A           104674106        300,066       8,690       X        28-5284      8260                430
                                                              96,684       2,800       X      X 28-5284                         2800
BRANDYWINE RLTY TR           SH BEN INT NEW 105368203         17,068       1,083       X        28-5284      1083
                                                             210,979      13,387       X      X 28-5284     13387
BRASIL TELECOM PARTICIPACOES SPON ADR PFD   105530109         66,033         900       X      X 28-5284       900
                                                             468,981       6,392       X        28-11135     6392
BREITBURN ENERGY PARTNERS LP COM UT LTD PTN 106776107         21,630       1,000       X      X 28-5284                         1000
BRIGGS & STRATTON CORP       COM            109043109         25,677       2,025       X        28-5284      1655                370
                                                             543,972      42,900       X      X 28-5284     42900
                                                             157,929      12,455       X        28-11135    12455
BRIGHTPOINT INC              COM NEW        109473405            599          82       X      X 28-5284                           82
BRINKER INTL INC             COM            109641100      1,763,162      93,289       X        28-5284     87464               5825
                                                             199,868      10,575       X      X 28-5284     10575
BRINKS CO                    COM            109696104         19,626         300       X      X 28-5284       300
BRISTOL MYERS SQUIBB CO      COM            110122108     37,173,712   1,810,702       X        28-5284   1752991              57711
                                                          57,057,304   2,779,216       X      X 28-5284   2571240      8220   199756
                                                             831,075      40,481       X        28-11135    40481
                                                           1,276,165      62,161       X        28-4580     58961               3200
                                                           1,548,845      75,443       X      X 28-4580     73932      1511
BRISTOL MYERS SQUIBB CO      PFD CV $2      110122207          3,200           8       X      X 28-5284         8
BRISTOW GROUP INC            COM            110394103          3,068          62       X        28-11135       62
BRITISH AMERN TOB PLC        SPONSORED ADR  110448107         51,314         741       X        28-5284       741
                                                             114,055       1,647       X      X 28-5284       401               1246
                                                                 416           6       X        28-11135        6
BRITISH SKY BROADCASTING GRO SPONSORED ADR  111013108         10,469         280       X        28-5284       280
   COLUMN TOTAL                                          101,962,713







                                                                                                                    FILE NO. 28-1235
PAGE  39 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
BROADCOM CORP                CL A           111320107      1,979,207      72,525       X        28-5284     65280               7245
                                                              69,590       2,550       X      X 28-5284      2550
                                                               1,501          55       X        28-11135       55
BROADRIDGE FINL SOLUTIONS IN COM            11133T103        987,161      46,896       X        28-5284     41728               5168
                                                           1,459,228      69,322       X      X 28-5284     66424       475     2423
                                                                 884          42       X        28-11135       42
                                                               5,263         250       X        28-4580       250
                                                               6,568         312       X      X 28-4580       312
BROCADE COMMUNICATIONS SYS I COM NEW        111621306          4,120         500       X        28-5284       500
BRONCO DRILLING CO INC       COM            112211107          9,190         500       X        28-5284       500
                                                             110,280       6,000       X      X 28-5284      6000
BROOKDALE SR LIVING INC      COM            112463104        209,708      10,300       X        28-5284                        10300
BROOKFIELD ASSET MGMT INC    CL A LTD VT SH 112585104         90,494       2,781       X        28-5284      2781
                                                           3,371,372     103,607       X      X 28-5284     97982               5625
                                                               8,753         269       X        28-11135      269
                                                              56,945       1,750       X        28-4580                         1750
BROOKFIELD PPTYS CORP        COM            112900105        315,684      17,745       X        28-5284     17745
                                                              49,990       2,810       X      X 28-5284      1060               1750
BROOKLINE BANCORP INC DEL    COM            11373M107         27,695       2,900       X        28-5284      2900
BROOKS AUTOMATION INC        COM            114340102          1,927         233       X      X 28-5284       233
BROWN & BROWN INC            COM            115236101        129,729       7,460       X        28-5284      3260               4200
BROWN FORMAN CORP            CL A           115637100      3,507,948      46,139       X        28-5284     46139
                                                              49,267         648       X      X 28-5284       648
                                                           1,882,807      24,764       X        28-4580     24764
BROWN FORMAN CORP            CL B           115637209      3,537,810      46,815       X        28-5284     46815
                                                          20,845,380     275,842       X      X 28-5284    275842
BROWN SHOE INC NEW           COM            115736100          4,499         332       X        28-5284                          332
                                                               2,033         150       X      X 28-5284       150
BRUKER CORP                  COM            116794108      1,101,245      85,700       X      X 28-5284     85700
   COLUMN TOTAL                                           39,826,278







                                                                                                                    FILE NO. 28-1235
PAGE  40 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
BRUNSWICK CORP               COM            117043109         53,657       5,062       X        28-5284      1062               4000
BRUSH ENGINEERED MATLS INC   COM            117421107          3,907         160       X        28-5284                          160
                                                              61,050       2,500       X      X 28-5284      2500
BRYN MAWR BK CORP            COM            117665109        126,000       7,200       X        28-5284      7200
                                                             220,500      12,600       X      X 28-5284      7500               5100
BUCKEYE PARTNERS L P         UNIT LTD PARTN 118230101      1,317,316      30,800       X        28-5284     30800
                                                             350,329       8,191       X      X 28-5284      7891       300
BUCKEYE TECHNOLOGIES INC     COM            118255108          3,892         460       X        28-5284       200                260
BUCKLE INC                   COM            118440106      1,008,347      22,050       X      X 28-5284     22050
BUCYRUS INTL INC NEW         COM            118759109         40,745         558       X        28-5284       558
                                                           2,251,207      30,830       X      X 28-5284     30830
BUILDING MATLS HLDG CORP     COM            120113105            336         190       X        28-5284                          190
BURGER KING HLDGS INC        COM            121208201      1,002,616      37,425       X      X 28-5284     37425
BURLINGTON NORTHN SANTA FE C COM            12189T104      5,285,380      52,912       X        28-5284     52114                798
                                                          16,190,671     162,085       X      X 28-5284    159645       165     2275
                                                             274,997       2,753       X        28-11135     2753
                                                              55,938         560       X        28-4580       560
                                                             756,966       7,578       X      X 28-4580      7578
C&D TECHNOLOGIES INC         COM            124661109          1,354         160       X        28-5284                          160
CAE INC                      COM            124765108         33,870       3,000       X      X 28-5284                         3000
CAI INTERNATIONAL INC        COM            12477X106        817,800      47,000       X      X 28-5284     47000
CBL & ASSOC PPTYS INC        COM            124830100      1,371,085      60,030       X        28-5284     57095               2935
                                                             285,500      12,500       X      X 28-5284     12500
CBS CORP NEW                 CL A           124857103         14,357         737       X        28-5284       370                367
                                                             296,330      15,212       X      X 28-5284     15137                 75
   COLUMN TOTAL                                           31,824,150







                                                                                                                    FILE NO. 28-1235
PAGE  41 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
CBS CORP NEW                 CL B           124857202        674,490      34,607       X        28-5284     27467               7140
                                                           1,968,022     100,976       X      X 28-5284     89153              11823
                                                               5,594         287       X        28-11135      287
                                                              49,700       2,550       X        28-4580        50               2500
                                                              21,439       1,100       X      X 28-4580      1100
CBRL GROUP INC               COM            12489V106         12,255         500       X        28-5284       500
                                                               1,226          50       X        28-11135       50
CB RICHARD ELLIS GROUP INC   CL A           12497T101         19,680       1,025       X        28-5284        25               1000
                                                              27,187       1,416       X      X 28-5284      1416
C D I CORP                   COM            125071100          2,798         110       X        28-5284                          110
CEC ENTMT INC                COM            125137109         19,047         680       X        28-5284       450                230
CF INDS HLDGS INC            COM            125269100         32,852         215       X        28-5284       215
                                                              61,120         400       X      X 28-5284       300                100
CH ENERGY GROUP INC          COM            12541M102         13,517         380       X        28-5284       250                130
                                                              17,785         500       X      X 28-4580       500
C H ROBINSON WORLDWIDE INC   COM NEW        12541W209         37,894         691       X        28-5284       691
                                                             319,882       5,833       X        28-11135     5833
CIGNA CORP                   COM            125509109      7,452,815     210,591       X        28-5284    210311                280
                                                          13,259,147     374,658       X      X 28-5284    329257              45401
                                                             275,617       7,788       X        28-11135     7788
CIT GROUP INC                COM            125581108         40,261       5,912       X        28-5284       312               5600
                                                                  48           7       X      X 28-5284         7
CLECO CORP NEW               COM            12561W105         12,785         548       X        28-5284       548
                                                              53,239       2,282       X      X 28-5284      1882                400
CME GROUP INC                COM            12572Q105      1,319,706       3,444       X        28-5284      3092                352
                                                             142,163         371       X      X 28-5284       341                 30
                                                              49,432         129       X        28-11135      129
CMGI INC                     COM NEW        125750307        461,100      43,500       X      X 28-5284               43500
CMS ENERGY CORP              COM            125896100        150,654      10,111       X        28-5284       210               9901
                                                                  75           5       X      X 28-5284         5
   COLUMN TOTAL                                           26,501,530







                                                                                                                    FILE NO. 28-1235
PAGE  42 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
CPI CORP                     COM            125902106            937          50       X        28-5284                           50
CNB FINL CORP PA             COM            126128107         53,025       3,750       X      X 28-5284      3750
CNOOC LTD                    SPONSORED ADR  126132109         82,779         477       X        28-5284       477
                                                             161,392         930       X      X 28-5284       930
CPFL ENERGIA S A             SPONSORED ADR  126153105         10,254         150       X      X 28-5284       150
                                                               6,836         100       X      X 28-4580       100
CNX GAS CORP                 COM            12618H309         10,804         257       X        28-11135      257
CRA INTL INC                 COM            12618T105         18,617         515       X      X 28-5284       515
CRH PLC                      ADR            12626K203          5,651         198       X        28-5284       198
                                                               3,996         140       X      X 28-5284       140
                                                             266,763       9,347       X        28-11135     9347
CSX CORP                     COM            126408103      4,670,866      74,365       X        28-5284     72375               1990
                                                           4,798,433      76,396       X      X 28-5284     69996               6400
                                                             474,530       7,555       X        28-11135     7555
                                                             153,885       2,450       X        28-11439     2450
                                                             527,730       8,402       X        28-4580      8402
CTS CORP                     COM            126501105          7,618         758       X        28-5284       528                230
CVS CAREMARK CORPORATION     COM            126650100     15,261,991     385,696       X        28-5284    381502               4194
                                                          12,445,517     314,519       X      X 28-5284    289502      3729    21288
                                                             508,949      12,862       X        28-11135    12862
                                                             123,261       3,115       X        28-4580      3115
CA INC                       COM            12673P105        538,736      23,332       X        28-5284     23321                 11
                                                              88,897       3,850       X      X 28-5284      3850
CABELAS INC                  COM            126804301          5,505         500       X        28-5284       500
                                                             393,453      35,736       X        28-11135    35736
CABLEVISION SYS CORP         CL A NY CABLVS 12686C109            362          16       X        28-11135       16
CABOT CORP                   COM            127055101        243,100      10,000       X      X 28-5284     10000
                                                               9,724         400       X      X 28-4580       400
   COLUMN TOTAL                                           40,873,611







                                                                                                                    FILE NO. 28-1235
PAGE  43 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
CABOT MICROELECTRONICS CORP  COM            12709P103         74,588       2,250       X      X 28-5284      2250
                                                              55,858       1,685       X        28-11135     1685
CABOT OIL & GAS CORP         COM            127097103        119,205       1,760       X        28-5284      1000                760
                                                             412,340       6,088       X        28-11135     6088
CACI INTL INC                CL A           127190304         17,621         385       X        28-5284       135                250
CADBURY PLC                  SPONS ADR      12721E102         25,663         510       X        28-5284       510
                                                             143,362       2,849       X      X 28-5284      2849
                                                              17,813         354       X        28-11135      354
                                                             286,623       5,696       X      X 28-4580      5696
CADENCE FINL CORP            COM            12738A101         32,490       3,000       X      X 28-5284      3000
CADENCE DESIGN SYSTEM INC    COM            127387108            909          90       X        28-5284        90
                                                                 505          50       X      X 28-5284        50
CADIZ INC                    COM NEW        127537207        646,073      40,079       X      X 28-5284               40079
CAL DIVE INTL INC DEL        COM            12802T101          1,986         139       X        28-5284       139
                                                             302,105      21,141       X      X 28-5284               21141
CAL MAINE FOODS INC          COM NEW        128030202         16,495         500       X        28-5284       500
CALAMOS CONV & HIGH INCOME F COM SHS        12811P108        162,723      12,281       X        28-5284     12281
                                                             227,211      17,148       X      X 28-5284     17148
CALAMOS ASSET MGMT INC       CL A           12811R104          1,703         100       X        28-5284       100
CALAMOS STRATEGIC TOTL RETN  COM SH BEN INT 128125101         88,296       7,800       X        28-5284      7800
                                                               3,962         350       X      X 28-5284       350
CALIFORNIA COASTAL CMNTYS IN COM NEW        129915203        535,121     140,084       X      X 28-5284              137484     2600
CALIFORNIA WTR SVC GROUP     COM            130788102        114,695       3,500       X        28-5284      3500
                                                               4,916         150       X      X 28-5284       150
                                                               3,769         115       X        28-11135      115
CALIPER LIFE SCIENCES INC    COM            130872104          2,059         795       X      X 28-5284                 795
CALLAWAY GOLF CO             COM            131193104          1,183         100       X        28-5284       100
                                                             287,635      24,314       X        28-11135    24314
   COLUMN TOTAL                                            3,586,909







                                                                                                                    FILE NO. 28-1235
PAGE  44 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
CALLWAVE INC DEL             COM            13126N101      1,050,228     403,934       X      X 28-5284              403934
CALPINE CORP                 COM NEW        131347304         10,152         450       X        28-5284       450
                                                              58,656       2,600       X      X 28-5284      2600
                                                               1,241          55       X        28-11135       55
                                                              10,739         476       X        28-4580       476
CAMDEN NATL CORP             COM            133034108        136,421       5,860       X      X 28-5284                         5860
CAMDEN PPTY TR               SH BEN INT     133131102        883,341      19,958       X        28-5284     19958
                                                             296,631       6,702       X      X 28-5284      6702
CAMECO CORP                  COM            13321L108         58,946       1,375       X        28-5284      1375
                                                             932,423      21,750       X      X 28-5284     21750
CAMERON INTERNATIONAL CORP   COM            13342B105         88,781       1,604       X        28-5284      1604
                                                             133,394       2,410       X      X 28-5284       560               1850
                                                               3,210          58       X        28-11135       58
CAMPBELL SOUP CO             COM            134429109      2,781,429      83,127       X        28-5284     82297                830
                                                         297,988,470   8,905,812       X      X 28-5284     98349   1248880  7558583
                                                                 234           7       X        28-11135        7
                                                               8,365         250       X        28-4580       250
                                                              50,190       1,500       X      X 28-4580      1500
CANADIAN NATL RY CO          COM            136375102        400,747       8,335       X        28-5284      7585                750
                                                           2,950,429      61,365       X      X 28-5284     26215              35150
CANADIAN NAT RES LTD         COM            136385101         59,148         590       X        28-5284       590
                                                           2,570,410      25,640       X      X 28-5284     19720               5920
                                                             150,375       1,500       X      X 28-4580      1500
CANADIAN PAC RY LTD          COM            13645T100        418,997       6,335       X      X 28-5284      2785               3550
                                                               1,124          17       X        28-11135       17
CANADIAN SOLAR INC           COM            136635109          8,038         200       X        28-5284       200
                                                              16,076         400       X      X 28-5284       400
                                                             433,811      10,794       X        28-11439    10794
CANADIAN SUPERIOR ENERGY INC COM            136644101         94,179      20,385       X      X 28-5284                        20385
CANDELA CORP                 COM            136907102         14,395       6,178       X        28-11135     6178
   COLUMN TOTAL                                          311,610,580







                                                                                                                    FILE NO. 28-1235
PAGE  45 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
CANO PETE INC                COM            137801106          1,588         200       X      X 28-5284       200
CANON INC                    ADR            138006309        396,161       7,736       X        28-5284      7736
                                                             197,466       3,856       X      X 28-5284       181               3675
                                                              24,939         487       X        28-11135      487
                                                               5,275         103       X      X 28-4580                          103
CAPE FEAR BK CORP            COM            139380109        155,033      20,671       X      X 28-5284     20671
CAPELLA EDUCATION COMPANY    COM            139594105          5,965         100       X      X 28-5284       100
CAPLEASE INC                 COM            140288101        449,400      60,000       X      X 28-5284     60000
                                                              56,175       7,500       X        28-4580                         7500
CAPITAL ONE FINL CORP        COM            14040H105     15,642,179     411,528       X        28-5284    358668              52860
                                                           3,203,711      84,286       X      X 28-5284     67754       287    16245
                                                               6,158         162       X        28-11135      162
CAPITAL TRUST INC MD         CL A NEW       14052H506        147,917       7,700       X      X 28-5284      7700
CAPITALSOURCE INC            COM            14055X102        225,367      20,340       X      X 28-5284      4400              15940
CAPSTONE TURBINE CORP        COM            14067D102         41,900      10,000       X        28-5284     10000
                                                               6,955       1,660       X      X 28-5284      1660
CARBO CERAMICS INC           COM            140781105          9,628         165       X        28-5284                          165
CARDICA INC                  COM            14141R101          8,462       1,000       X        28-5284      1000
CARDINAL HEALTH INC          COM            14149Y108      4,308,065      83,522       X        28-5284     78360               5162
                                                           2,454,280      47,582       X      X 28-5284     40561               7021
                                                              15,474         300       X        28-4580       300
                                                              27,234         528       X      X 28-4580       528
CARDIOME PHARMA CORP         COM NEW        14159U202          1,760         200       X      X 28-5284       200
                                                                 370          42       X        28-11135       42
CAREER EDUCATION CORP        COM            141665109         24,837       1,700       X        28-5284      1700
CARDIUM THERAPEUTICS INC     COM            141916106        599,980     262,000       X      X 28-5284    210000              52000
   COLUMN TOTAL                                           28,016,279







                                                                                                                    FILE NO. 28-1235
PAGE  46 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
CARLISLE COS INC             COM            142339100        338,314      11,666       X        28-5284     11666
                                                             174,000       6,000       X      X 28-5284                         6000
CARMAX INC                   COM            143130102         50,247       3,541       X        28-5284      3541
                                                             647,915      45,660       X      X 28-5284     16103              29557
CARNIVAL PLC                 ADR            14365C103          8,238         258       X        28-5284       258
                                                               1,884          59       X        28-11135       59
CARNIVAL CORP                DBCV 4/2       143658AV4      6,093,798       9,592       X        28-11439     9592
CARNIVAL CORP                PAIRED CTF     143658300      2,405,750      72,990       X        28-5284     43705              29285
                                                           1,545,791      46,899       X      X 28-5284     34401              12498
                                                              17,765         539       X        28-4580       539
                                                              43,705       1,326       X      X 28-4580      1326
CARPENTER TECHNOLOGY CORP    COM            144285103      6,607,301     151,370       X        28-5284     72030              79340
                                                          29,922,861     685,518       X      X 28-5284    670718              14800
CASEYS GEN STORES INC        COM            147528103          8,573         370       X        28-5284                          370
CASH AMER INTL INC           COM            14754D100          7,440         240       X        28-5284                          240
CASTLE A M & CO              COM            148411101          3,719         130       X        28-5284                          130
CATAPULT COMMUNICATIONS CORP COM            149016107            427          60       X        28-5284                           60
CATERPILLAR INC DEL          COM            149123101     13,862,067     187,782       X        28-5284    140329              47453
                                                          16,224,307     219,782       X      X 28-5284    192917       275    26590
                                                             360,168       4,879       X        28-11135     4879
                                                             218,581       2,961       X        28-4580      2961
                                                             570,333       7,726       X      X 28-4580      7726
CATHAY GENERAL BANCORP       COM            149150104         29,936       2,754       X        28-11135     2754
CATO CORP NEW                CL A           149205106          3,346         235       X        28-5284                          235
CEDAR FAIR L P               DEPOSITRY UNIT 150185106      2,024,209     107,728       X        28-5284    107728
                                                             111,801       5,950       X      X 28-5284      3800       350     1800
CELANESE CORP DEL            COM SER A      150870103      1,772,293      38,815       X        28-5284     37632               1183
                                                           2,725,948      59,701       X      X 28-5284     59491                210
                                                              35,615         780       X        28-11135      780
CELL THERAPEUTICS INC        NOTE  4.000% 7 150934AF4     20,000,000   1,000,000       X      X 28-5284             1000000
   COLUMN TOTAL                                          105,816,332







                                                                                                                    FILE NO. 28-1235
PAGE  47 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
CELGENE CORP                 COM            151020104        269,595       4,221       X        28-5284      3321                900
                                                           1,693,002      26,507       X      X 28-5284     26507
CEMEX SAB DE CV              SPON ADR NEW   151290889        252,632      10,228       X        28-5284     10228
                                                              89,785       3,635       X      X 28-5284      3135                500
                                                               2,841         115       X        28-11135      115
CENTERLINE HOLDINGS CO       SH BEN INT     15188T108          1,052         630       X        28-11135      630
CENTERPOINT ENERGY INC       COM            15189T107        146,601       9,134       X        28-5284      9134
                                                             264,536      16,482       X      X 28-5284     16232                250
CENTERPLATE INC              UNIT 99/99/999 15200E204         13,302       2,750       X      X 28-5284      2750
CENTEX CORP                  COM            152312104        101,345       7,580       X        28-5284                         7580
                                                              40,110       3,000       X        28-11439     3000
CENTILLIUM COMMUNICATIONS IN COM            152319109      2,385,216   3,613,964       X      X 28-5284             3613964
CENTRAL EUROPEAN DIST CORP   COM            153435102         11,123         150       X      X 28-5284       150
                                                             328,262       4,427       X        28-11135     4427
CENTRAL EUROPE AND RUSSIA FD COM            153436100         20,768         394       X        28-5284       394
CENTRAL FD CDA LTD           CL A           153501101        679,228      52,450       X        28-5284     52450
                                                              12,950       1,000       X      X 28-4580      1000
CENTRAL GARDEN & PET CO      CL A NON-VTG   153527205          2,038         497       X        28-5284       497
CENTRAL PAC FINL CORP        COM            154760102            640          60       X        28-5284        60
CENTRAL VT PUB SVC CORP      COM            155771108          1,550          80       X        28-5284                           80
                                                               5,811         300       X      X 28-5284       300
CENTRAL VA BANKSHARES INC    COM            155792104         16,250       1,000       X        28-5284      1000
CENTURY ALUM CO              COM            156431108         15,293         230       X        28-5284                          230
                                                              16,357         246       X        28-11135      246
CENTURY CASINOS INC          COM            156492100         16,682       5,086       X      X 28-5284                5086
   COLUMN TOTAL                                            6,386,969







                                                                                                                    FILE NO. 28-1235
PAGE  48 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
CENTURYTEL INC               COM            156700106         50,680       1,424       X        28-5284       934                490
                                                              51,499       1,447       X      X 28-5284      1447
                                                             339,173       9,530       X        28-11439     9530
CEPHALON INC                 COM            156708109      6,113,206      91,666       X        28-5284     73955              17711
                                                           2,249,320      33,728       X      X 28-5284     28673               5055
                                                             300,238       4,502       X        28-11135     4502
CERADYNE INC                 COM            156710105         23,941         698       X        28-5284       200                498
                                                             102,900       3,000       X      X 28-5284                         3000
CERNER CORP                  COM            156782104        550,067      12,175       X        28-5284     10950               1225
                                                              10,888         241       X      X 28-5284       241
                                                               1,401          31       X        28-11135       31
CHAMPION ENTERPRISES INC     COM            158496109          3,744         640       X        28-5284       100                540
                                                                 585         100       X      X 28-5284       100
CHARLES RIV LABS INTL INC    COM            159864107          6,392         100       X        28-5284       100
                                                             326,184       5,103       X      X 28-5284      1100               4003
                                                             177,506       2,777       X        28-11135     2777
CHARMING SHOPPES INC         COM            161133103          4,590       1,000       X        28-5284      1000
                                                               1,974         430       X      X 28-5284       430
CHART INDS INC               COM PAR $0.01  16115Q308        109,878       2,259       X        28-11135     2259
CHARTER COMMUNICATIONS INC D CL A           16117M107             80          76       X      X 28-5284        76
CHATTEM INC                  COM            162456107         26,020         400       X        28-5284       400
                                                              13,010         200       X      X 28-5284                          200
                                                             210,112       3,230       X        28-11135     3230
CHECKPOINT SYS INC           COM            162825103          6,682         320       X        28-5284                          320
                                                               2,088         100       X        28-11135      100
CHEESECAKE FACTORY INC       COM            163072101         53,139       3,340       X        28-5284      3340
                                                               2,784         175       X      X 28-5284       175
CHEMED CORP NEW              COM            16359R103          7,322         200       X        28-5284       200
                                                              45,067       1,231       X        28-11135     1231
   COLUMN TOTAL                                           10,790,470







                                                                                                                    FILE NO. 28-1235
PAGE  49 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
CHEMTURA CORP                COM            163893100         28,032       4,800       X        28-5284      4800
                                                              24,738       4,236       X      X 28-5284      4014                222
CHENIERE ENERGY PARTNERS LP  COM UNIT       16411Q101          9,090       1,000       X        28-5284      1000
                                                              13,635       1,500       X      X 28-5284      1500
CHEROKEE INC DEL NEW         COM            16444H102        584,350      29,000       X        28-5284     29000
CHESAPEAKE CORP              COM            165159104            282         120       X        28-5284                          120
CHESAPEAKE ENERGY CORP       COM            165167107      1,121,188      16,998       X        28-5284     15998               1000
                                                           5,202,925      78,880       X      X 28-5284     78880
                                                               3,166          48       X        28-11135       48
                                                          19,464,070     295,089       X        28-11439   295089
                                                             164,900       2,500       X        28-4580                         2500
                                                              19,788         300       X      X 28-4580       300
CHESAPEAKE UTILS CORP        COM            165303108            952          37       X        28-5284        37
                                                             174,896       6,800       X      X 28-5284      5600               1200
                                                              76,620       2,979       X        28-4580      2979
CHEVRON CORP NEW             COM            166764100    181,908,606   1,835,051       X        28-5284   1720665       443   113943
                                                         177,026,156   1,785,798       X      X 28-5284   1608517      4959   172322
                                                           2,761,365      27,856       X        28-11135    27856
                                                           4,629,569      46,702       X        28-4580     46602                100
                                                           2,900,643      29,261       X      X 28-4580     26237       944     2080
CHICAGO BRIDGE & IRON CO N V N Y REGISTRY S 167250109         79,640       2,000       X        28-5284      1000               1000
                                                           2,036,793      51,150       X      X 28-5284     32300              18850
CHICOS FAS INC               COM            168615102         31,307       5,830       X        28-5284      5830
                                                              10,821       2,015       X      X 28-5284      2015
                                                               3,222         600       X        28-11135      600
CHILE FD INC                 COM            168834109          4,950         300       X      X 28-5284       300
CHILDRENS PL RETAIL STORES I COM            168905107         90,250       2,500       X        28-5284      2500
CHINA EASTN AIRLS LTD        SPON ADR CL H  16937R104          4,952         158       X        28-5284       158
CHINA FD INC                 COM            169373107         10,651         349       X      X 28-5284       233                116
   COLUMN TOTAL                                          398,387,557







                                                                                                                    FILE NO. 28-1235
PAGE  50 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
CHINA LIFE INS CO LTD        SPON ADR REP H 16939P106          4,696          90       X        28-5284        90
                                                              26,090         500       X      X 28-5284                          500
CHINA NETCOM GROUP CORP HK L SPONSORED ADR  16940Q101          2,129          39       X        28-5284        39
                                                                 164           3       X      X 28-5284         3
CHINA SOUTHN AIRLS LTD       SPON ADR CL H  169409109          3,523         178       X        28-5284       178
CHINA MOBILE LIMITED         SPONSORED ADR  16941M109         14,729         220       X        28-5284       220
                                                              38,162         570       X      X 28-5284       570
                                                               6,695         100       X      X 28-4580       100
CHINA PETE & CHEM CORP       SPON ADR H SHS 16941R108          2,136          23       X        28-5284        23
                                                              18,857         203       X      X 28-5284       203
                                                             252,661       2,720       X        28-11135     2720
CHINA SEC & SURVE TECH INC   COM            16942J105         53,920       4,000       X      X 28-5284      4000
CHINA UNICOM LTD             SPONSORED ADR  16945R104         92,600       5,000       X        28-5284      5000
                                                              23,150       1,250       X      X 28-5284      1250
CHINA MED TECHNOLOGIES INC   SPONSORED ADR  169483104         12,350         250       X        28-5284       250
                                                              39,520         800       X      X 28-5284       800
CHIPOTLE MEXICAN GRILL INC   CL A           169656105         78,241         947       X        28-5284       947
                                                             148,716       1,800       X      X 28-5284      1050                750
CHIPOTLE MEXICAN GRILL INC   CL B           169656204         18,765         249       X        28-5284        49                200
                                                               8,892         118       X      X 28-5284       109                  9
CHOICE HOTELS INTL INC       COM            169905106         39,750       1,500       X      X 28-4580      1500
CHIQUITA BRANDS INTL INC     COM            170032809         15,170       1,000       X      X 28-5284                         1000
CHOICEPOINT INC              COM            170388102        156,168       3,240       X        28-5284      3240
                                                              19,280         400       X      X 28-5284       400
                                                               3,663          76       X        28-11135       76
CHRISTOPHER & BANKS CORP     COM            171046105          1,802         265       X        28-5284                          265
                                                              34,340       5,050       X      X 28-5284      5050
   COLUMN TOTAL                                            1,116,169







                                                                                                                    FILE NO. 28-1235
PAGE  51 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
CHUBB CORP                   COM            171232101     46,658,549     952,021       X        28-5284    882195              69826
                                                          22,399,236     457,034       X      X 28-5284    396070      4807    56157
                                                              19,506         398       X        28-11135      398
                                                             840,227      17,144       X        28-4580     16671                473
                                                             238,483       4,866       X      X 28-4580      4866
CHUNGHWA TELECOM CO LTD      SPON ADR NEW   17133Q304            152           6       X        28-11135        6
CHURCH & DWIGHT INC          COM            171340102        263,436       4,675       X        28-5284      4675
                                                           7,866,460     139,600       X      X 28-5284    139600
                                                           8,875,125     157,500       X        28-11439   157500
CHURCHILL DOWNS INC          COM            171484108      2,309,301      66,226       X        28-5284     66226
                                                              27,059         776       X      X 28-5284       776
CIBER INC                    COM            17163B102          2,049         330       X        28-5284                          330
CIENA CORP                   COM NEW        171779309         10,658         460       X      X 28-5284       460
CIMAREX ENERGY CO            COM            171798101        153,274       2,200       X        28-5284      2200
                                                             163,725       2,350       X      X 28-5284                         2350
                                                               1,951          28       X        28-11135       28
CINCINNATI BELL INC NEW      COM            171871106        213,209      53,570       X        28-5284     53570
                                                                 127          32       X      X 28-5284        32
CINCINNATI BELL INC NEW      PFD CV DEP1/20 171871403         56,280       1,400       X      X 28-5284      1400
CINCINNATI FINL CORP         COM            172062101     13,997,127     551,068       X        28-5284    394871             156197
                                                           1,272,413      50,095       X      X 28-5284     47295       200     2600
                                                               2,286          90       X        28-11135       90
CINEMARK HOLDINGS INC        COM            17243V102          6,386         489       X        28-5284       489
CIRCOR INTL INC              COM            17273K109         22,780         465       X      X 28-5284       465
CIRCUIT CITY STORE INC       COM            172737108      3,097,051   1,071,644       X        28-5284   1001192              70452
                                                             196,266      67,912       X      X 28-5284     67912
   COLUMN TOTAL                                          108,693,116







                                                                                                                    FILE NO. 28-1235
PAGE  52 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
CISCO SYS INC                COM            17275R102    119,644,695   5,143,796       X        28-5284   4849816             293980
                                                          81,505,180   3,504,092       X      X 28-5284   3137948     40066   326078
                                                             205,874       8,851       X        28-11135     8851
                                                           2,463,443     105,909       X        28-4580    104639               1270
                                                           1,290,162      55,467       X      X 28-4580     55467
CITADEL BROADCASTING CORP    COM            17285T106         18,351      15,042       X        28-5284     14594                448
                                                              29,433      24,125       X      X 28-5284     22786        61     1278
                                                                   7           6       X        28-11135        6
                                                                 571         468       X        28-4580       338                130
                                                                 345         283       X      X 28-4580       283
CINTAS CORP                  COM            172908105      1,854,905      69,970       X        28-5284     68162               1808
                                                           1,044,388      39,396       X      X 28-5284     37596               1800
CITIZENS & NORTHN CORP       COM            172922106        118,553       7,159       X        28-5284      7159
                                                             557,973      33,694       X      X 28-5284     33694
CITIGROUP INC                COM            172967101     33,426,613   1,994,428       X        28-5284   1809772       260   184396
                                                          26,306,680   1,569,611       X      X 28-5284   1369037     11600   188974
                                                             493,515      29,446       X        28-11135    29446
                                                             456,241      27,222       X        28-4580     27222
                                                             583,851      34,836       X      X 28-4580     33118       189     1529
CITIZENS REPUBLIC BANCORP IN COM            174420109            536         190       X        28-5284       190
                                                                 282         100       X      X 28-5284       100
CITIZENS COMMUNICATIONS CO   COM            17453B101        131,487      11,595       X        28-5284     11595
                                                             454,870      40,112       X      X 28-5284     28112              12000
                                                              74,266       6,549       X      X 28-4580      6549
CITRIX SYS INC               COM            177376100        139,109       4,730       X        28-5284      4730
                                                              53,114       1,806       X        28-11135     1806
CITY NATL CORP               COM            178566105        642,788      15,279       X        28-5284     13471               1808
                                                              61,380       1,459       X      X 28-5284      1459
                                                                 841          20       X        28-11135       20
   COLUMN TOTAL                                          271,559,453







                                                                                                                    FILE NO. 28-1235
PAGE  53 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
CLARCOR INC                  COM            179895107         22,464         640       X        28-5284       230                410
                                                             343,489       9,786       X      X 28-5284      9786
CLARIENT INC                 COM            180489106        162,400      81,200       X        28-5284     81200
CLAYMORE EXCHANGE TRADED FD  BNY BRI&C PTF  18383M100        217,854       4,410       X        28-5284      4410
CLAYMORE EXCHANGE TRADED FD  ZACKS SECT RTN 18383M407         22,760         800       X      X 28-5284       800
CLAYMORE EXCHANGE TRADED FD  MAC GLOB SOLAR 18383M621        154,800       6,000       X        28-5284      6000
                                                             283,800      11,000       X      X 28-5284     11000
CLAYMORE ETF TRUST 2         SWM CDN ENERGY 18383Q606         28,230         880       X      X 28-5284       880
CLAYMORE RAYMOND JAMES SB1 E COM            183833102         17,460       1,000       X        28-5284      1000
CLAYMORE/GUGGENHEIM STR OPP  COM SBI        18385X104         22,650       1,500       X      X 28-5284      1500
CLEAN HARBORS INC            COM            184496107      1,360,799      19,150       X      X 28-5284     19150
CLEAN ENERGY FUELS CORP      COM            184499101         11,490       1,000       X      X 28-5284      1000
CLEAR CHANNEL COMMUNICATIONS COM            184502102        337,885       9,599       X        28-5284      7110               2489
                                                           1,286,666      36,553       X      X 28-5284     26153              10400
                                                              24,006         682       X        28-11135      682
CLEAR CHANNEL OUTDOOR HLDGS  CL A           18451C109          5,955         334       X        28-5284       334
                                                              11,875         666       X      X 28-5284       666
CLEVELAND CLIFFS INC         COM            185896107         67,938         570       X        28-5284       570
                                                             595,950       5,000       X      X 28-5284      5000
CLOROX CO DEL                COM            189054109      8,791,472     168,419       X        28-5284    159894               8525
                                                           4,189,572      80,260       X      X 28-5284     74435               5825
                                                             422,820       8,100       X        28-4580      8100
                                                              57,420       1,100       X      X 28-4580      1100
COACH INC                    COM            189754104      5,734,730     198,571       X        28-5284    191841               6730
                                                           4,063,474     140,702       X      X 28-5284    139767                935
                                                           1,167,070      40,411       X        28-11135    40411
                                                              67,406       2,334       X        28-4580      2334
                                                               3,004         104       X      X 28-4580       104
   COLUMN TOTAL                                           29,475,439







                                                                                                                    FILE NO. 28-1235
PAGE  54 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
COCA COLA BOTTLING CO CONS   COM            191098102            185           5       X        28-5284         5
COCA COLA HELLENIC BTTLG CO  SPONSORED ADR  1912EP104          5,928         219       X        28-5284       219
COCA COLA CO                 COM            191216100    101,030,303   1,943,638       X        28-5284   1844249              99389
                                                          96,433,660   1,855,207       X      X 28-5284   1709188     17744   128275
                                                              92,888       1,787       X        28-11135     1787
                                                           2,766,739      53,227       X        28-4580     53094                133
                                                           2,862,123      55,062       X      X 28-4580     54387       675
COCA COLA ENTERPRISES INC    COM            191219104         53,803       3,110       X        28-5284      3110
                                                              12,370         715       X      X 28-5284       715
                                                               3,010         174       X        28-11135      174
COCA COLA FEMSA S A B DE C V SPON ADR REP L 191241108        326,160       5,784       X        28-11135     5784
COEUR D ALENE MINES CORP IDA COM            192108108         17,400       6,000       X        28-5284      6000
                                                              14,500       5,000       X      X 28-5284      4000               1000
COGNEX CORP                  COM            192422103          7,607         330       X        28-5284                          330
                                                             722,502      31,345       X        28-11135    31345
COGNIZANT TECHNOLOGY SOLUTIO CL A           192446102      2,029,827      62,437       X        28-5284     55857               6580
                                                             246,718       7,589       X      X 28-5284      7589
                                                             168,597       5,186       X        28-11135     5186
COHEN & STEERS INC           COM            19247A100         25,970       1,000       X        28-5284      1000
COHEN & STEERS QUALITY RLTY  COM            19247L106         29,070       1,900       X        28-5284      1900
                                                              22,629       1,479       X      X 28-5284      1479
COHEN & STEERS PREM INC RLTY COM            19247V104         10,528         700       X        28-5284       700
COHEN & STEERS ADV INC RLTY  COM            19247W102          9,563         647       X        28-5284       647
                                                              29,560       2,000       X      X 28-5284      2000
COHEN & STEERS REIT & PFD IN COM            19247X100         95,500       5,000       X      X 28-5284      5000
COHEN & STEERS REIT & UTIL I COM            19247Y108         11,625         662       X      X 28-5284       662
COHERENT INC                 COM            192479103         20,923         700       X        28-5284       700
   COLUMN TOTAL                                          207,049,688







                                                                                                                    FILE NO. 28-1235
PAGE  55 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
COHEN & STEERS SELECT UTIL F COM            19248A109         39,040       1,600       X        28-5284      1600
                                                              92,281       3,782       X      X 28-5284      3782
COHEN & STEERS DIV MJRS FDIN COM            19248G106         70,547       4,700       X        28-5284      4700
                                                              44,535       2,967       X      X 28-5284      2967
COHEN & STEERS WRLDWD RLT IN COM            19248J100          3,736         269       X        28-5284       269
COHEN & STEERS CLOSED END OP COM            19248P106         76,550       5,000       X        28-5284      5000
                                                              85,215       5,566       X      X 28-5284      5566
COHU INC                     COM            192576106          2,349         160       X        28-5284                          160
COLDWATER CREEK INC          COM            193068103      1,928,288     365,206       X        28-5284    313006              52200
                                                             152,064      28,800       X      X 28-5284     28800
COLGATE PALMOLIVE CO         COM            194162103     49,794,151     720,610       X        28-5284    695171              25439
                                                          36,962,488     534,913       X      X 28-5284    502123      4695    28095
                                                              16,169         234       X        28-11135      234
                                                           1,137,593      16,463       X        28-4580     15970                493
                                                             591,772       8,564       X      X 28-4580      8564
COLLECTIVE BRANDS INC        COM            19421W100         40,752       3,504       X      X 28-5284      3504
COLONIAL BANCGROUP INC       COM            195493309        129,157      29,221       X        28-5284     29221
                                                             251,940      57,000       X      X 28-5284      5000              52000
                                                                 460         104       X        28-11135      104
COLONIAL PPTYS TR            COM SH BEN INT 195872106         28,188       1,408       X        28-5284      1038                370
                                                             214,394      10,709       X      X 28-5284     10709
                                                                 861          43       X        28-11135       43
COLUMBIA SPORTSWEAR CO       COM            198516106         25,835         703       X        28-5284                          703
COLUMBUS MCKINNON CORP N Y   COM            199333105          1,662          69       X        28-11135       69
COMCAST CORP NEW             CL A           20030N101     12,660,256     667,383       X        28-5284    603544              63839
                                                           9,122,692     480,901       X      X 28-5284    400667      6145    74089
                                                              12,539         661       X        28-11135      661
                                                             105,435       5,558       X        28-4580      5558
                                                              41,051       2,164       X      X 28-4580      2164
   COLUMN TOTAL                                          113,632,000







                                                                                                                    FILE NO. 28-1235
PAGE  56 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
COMCAST CORP NEW             CL A SPL       20030N200     64,312,150   3,428,153       X        28-5284   3372503              55650
                                                           1,625,423      86,643       X      X 28-5284     42623      4550    39470
                                                               6,772         361       X      X 28-4580       361
COMERICA INC                 COM            200340107        477,231      18,620       X        28-5284     12711               5909
                                                             374,454      14,610       X      X 28-5284     13180               1430
COMM BANCORP INC             COM            200468106        774,400      17,600       X        28-5284     17600
COMMERCE BANCSHARES INC      COM            200525103          3,371          85       X        28-5284        85
                                                              30,419         767       X      X 28-5284       767
COMMERCEFIRST BANCORP INC    COM            200845105         20,800       2,500       X      X 28-5284      2500
COMMERCIAL METALS CO         COM            201723103         41,470       1,100       X        28-5284      1100
                                                             113,439       3,009       X      X 28-5284      3009
                                                             391,401      10,382       X        28-11135    10382
COMMERICAL NATL FINL CORP PA COM            202217105          2,235         150       X      X 28-5284       150
COMMSCOPE INC                COM            203372107        323,163       6,124       X        28-5284      6004                120
                                                               1,636          31       X      X 28-5284        31
                                                              13,193         250       X        28-11135      250
COMMUNITY BANCSHARES INC S C COM            20343F100         45,648       2,353       X      X 28-5284      2353
COMMUNITY BK SYS INC         COM            203607106        129,246       6,268       X        28-5284      6268
                                                              20,620       1,000       X      X 28-5284      1000
COMMUNITY HEALTH SYS INC NEW COM            203668108          4,123         125       X        28-5284       125
COMMUNITY TR BANCORP INC     COM            204149108         19,695         750       X        28-5284       750
CGG VERITAS                  SPONSORED ADR  204386106        102,115       2,163       X        28-5284      2163
                                                             115,759       2,452       X      X 28-5284      2452
COMPANHIA SIDERURGICA NACION SPONSORED ADR  20440W105        297,103       6,690       X      X 28-5284      2250               4440
COMPANHIA VALE DO RIO DOCE   SPON ADR PFD   204412100          2,865          96       X        28-5284        96
   COLUMN TOTAL                                           69,248,731







                                                                                                                    FILE NO. 28-1235
PAGE  57 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
COMPANHIA VALE DO RIO DOCE   SPONSORED ADR  204412209        489,086      13,654       X        28-5284     13654
                                                             471,212      13,155       X      X 28-5284     13155
                                                                 788          22       X        28-11135       22
                                                               3,582         100       X      X 28-4580       100
COMPANIA CERVECERIAS UNIDAS  SPONSORED ADR  204429104            408          14       X        28-11135       14
COMPASS MINERALS INTL INC    COM            20451N101         80,560       1,000       X        28-5284      1000
                                                              29,002         360       X      X 28-5284       360
COMPLETE PRODUCTION SERVICES COM            20453E109          1,530          42       X        28-5284        42
COMPUTER SCIENCES CORP       COM            205363104        490,040      10,462       X        28-5284       270              10192
                                                             119,536       2,552       X      X 28-5284      1052               1500
                                                              11,757         251       X        28-11135      251
COMPX INTERNATIONAL INC      CL A           20563P101            290          50       X        28-5284        50
COMTECH TELECOMMUNICATIONS C COM NEW        205826209         46,305         945       X        28-5284       945
                                                             312,914       6,386       X        28-11135     6386
COMVERGE INC                 COM            205859101        401,715      28,735       X        28-11135    28735
CONAGRA FOODS INC            COM            205887102     16,371,130     849,125       X        28-5284    787552              61573
                                                           6,762,768     350,766       X      X 28-5284    320566      8696    21504
                                                              17,699         918       X        28-11135      918
                                                             231,032      11,983       X        28-4580     11983
                                                              23,387       1,213       X      X 28-4580      1213
CON-WAY INC                  COM            205944101         25,993         550       X        28-5284       550
CONCHO RES INC               COM            20605P101          3,730         100       X      X 28-5284       100
CONMED CORP                  COM            207410101          9,080         342       X        28-5284       132                210
                                                              13,275         500       X      X 28-5284       500
CONNECTICUT WTR SVC INC      COM            207797101          2,240         100       X        28-5284       100
                                                             100,800       4,500       X      X 28-5284                         4500
   COLUMN TOTAL                                           26,019,859







                                                                                                                    FILE NO. 28-1235
PAGE  58 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
CONOCOPHILLIPS               COM            20825C104     65,223,773     691,003       X        28-5284    604117              86886
                                                          46,179,269     489,239       X      X 28-5284    447643      7715    33881
                                                           2,727,493      28,896       X        28-11135    28896
                                                          10,179,206     107,842       X        28-4580    107842
                                                          13,406,589     142,034       X      X 28-4580    140265       354     1415
CONSECO INC                  COM NEW        208464883            109          11       X        28-5284        11
                                                             866,016      87,300       X      X 28-5284               87300
CONSOL ENERGY INC            COM            20854P109        927,053       8,250       X        28-5284      8250
                                                             422,062       3,756       X      X 28-5284      3006                750
CONSOLIDATED COMM HLDGS INC  COM            209034107        264,744      17,780       X        28-5284     17780
                                                              11,912         800       X      X 28-5284       800
CONSOLIDATED EDISON INC      COM            209115104      6,373,390     163,044       X        28-5284    153374               9670
                                                          11,985,424     306,611       X      X 28-5284    146931       250   159430
                                                             286,882       7,339       X        28-4580      7339
                                                             189,704       4,853       X      X 28-4580      4853
CONSOLIDATED GRAPHICS INC    COM            209341106          4,927         100       X        28-5284                          100
CONSOLIDATED TOMOKA LD CO    COM            210226106        248,364       5,905       X      X 28-5284       325      2000     3580
CONSTELLATION BRANDS INC     CL A           21036P108        205,035      10,324       X        28-5284     10324
                                                              36,741       1,850       X      X 28-5284      1850
                                                             628,887      31,666       X        28-11135    31666
CONSTELLATION BRANDS INC     CL B           21036P207         17,678         896       X        28-5284       896
CONSTELLATION ENERGY GROUP I COM            210371100      7,970,268      97,080       X        28-5284     88619               8461
                                                          12,053,594     146,816       X      X 28-5284    119441      1100    26275
                                                               3,284          40       X        28-11135       40
                                                              57,470         700       X        28-4580       700
CONSTELLATION ENERGY PRTNR L COM UNIT LLC B 21038E101         20,730       1,000       X      X 28-5284                         1000
CONSUMER PORTFOLIO SVCS INC  COM            210502100         44,100      30,000       X        28-5284     30000
                                                              44,100      30,000       X      X 28-5284     30000
CONTANGO OIL & GAS COMPANY   COM NEW        21075N204         89,017         958       X      X 28-5284       118                840
CONTINENTAL AIRLS INC        CL B           210795308         10,110       1,000       X      X 28-5284      1000
   COLUMN TOTAL                                          180,477,931







                                                                                                                    FILE NO. 28-1235
PAGE  59 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
CONVERA CORP                 CL A           211919105             14          10       X        28-5284        10
CONTINENTAL RESOURCES INC    COM            212015101         24,262         350       X      X 28-5284       350
CONVERGYS CORP               COM            212485106      2,608,450     175,535       X        28-5284     63172             112363
                                                             400,923      26,980       X      X 28-5284     25480               1500
COOPER COS INC               COM NEW        216648402         31,949         860       X        28-5284       500                360
                                                                 409          11       X        28-11135       11
COOPER TIRE & RUBR CO        COM            216831107        176,792      22,550       X        28-5284     22550
COPART INC                   COM            217204106        111,974       2,615       X        28-5284      2615
CORINTHIAN COLLEGES INC      COM            218868107         12,771       1,100       X        28-5284      1100
                                                             109,134       9,400       X      X 28-5284      9400
CORN PRODS INTL INC          COM            219023108        187,649       3,821       X        28-5284      3821
                                                           1,426,842      29,054       X      X 28-5284     26679               2375
CORNING INC                  COM            219350105      7,399,903     321,037       X        28-5284    316385               4652
                                                           7,485,142     324,735       X      X 28-5284    284210              40525
                                                             221,902       9,627       X        28-11135     9627
                                                             114,950       4,987       X        28-4580      4987
                                                              89,019       3,862       X      X 28-4580      3862
CORPORATE EXECUTIVE BRD CO   COM            21988R102         38,476         915       X        28-5284        15                900
CORPORATE EXPRESS N V        SPON ADR       21989G105          1,769         123       X        28-5284       123
CORPORATE OFFICE PPTYS TR    SH BEN INT     22002T108        830,443      24,190       X        28-5284     17690               6500
                                                             415,050      12,090       X      X 28-5284     12090
                                                              46,346       1,350       X        28-4580      1350
                                                              20,598         600       X      X 28-4580       600
CORRECTIONS CORP AMER NEW    COM NEW        22025Y407         12,801         466       X        28-5284       466
                                                               5,494         200       X      X 28-5284       200
CORUS BANKSHARES INC         COM            220873103            649         156       X        28-5284       156
CORVEL CORP                  COM            221006109         16,258         480       X      X 28-5284       480
   COLUMN TOTAL                                           21,789,969







                                                                                                                    FILE NO. 28-1235
PAGE  60 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
COSTCO WHSL CORP NEW         COM            22160K105      6,230,396      88,828       X        28-5284     74928              13900
                                                           5,662,542      80,732       X      X 28-5284     60665              20067
                                                              13,186         188       X        28-11135      188
                                                           1,054,906      15,040       X        28-11439    15040
COTT CORP QUE                COM            22163N106          5,211       1,665       X        28-5284      1665
COUNTRYWIDE FINANCIAL CORP   COM            222372104        949,399     223,388       X        28-5284    190622              32766
                                                              77,291      18,186       X      X 28-5284     16566               1620
                                                               2,125         500       X      X 28-4580       500
COUSINS PPTYS INC            COM            222795106        990,990      42,900       X      X 28-5284     42500                400
                                                              69,300       3,000       X        28-4580                         3000
COVANCE INC                  COM            222816100      3,010,786      35,001       X        28-5284     35001
                                                           1,719,196      19,986       X      X 28-5284     17966               2020
                                                              13,075         152       X        28-11135      152
COVANTA HLDG CORP            COM            22282E102        120,105       4,500       X      X 28-5284      4500
COVENTRY HEALTH CARE INC     COM            222862104      5,335,516     175,395       X        28-5284    157428              17967
                                                             420,648      13,828       X      X 28-5284      7778               6050
                                                                  30           1       X        28-11135        1
CRANE CO                     COM            224399105        231,180       6,000       X      X 28-5284      6000
CREDIT SUISSE ASSET MGMT INC COM            224916106         77,050      23,000       X        28-5284     23000
CRAY INC                     COM NEW        225223304          7,248       1,562       X        28-5284      1562
CREDIT SUISSE GROUP          SPONSORED ADR  225401108         50,566       1,116       X        28-5284      1116
                                                               2,220          49       X      X 28-5284        49
                                                               2,447          54       X        28-11135       54
CREE INC                     COM            225447101         39,233       1,720       X        28-5284      1720
                                                              55,885       2,450       X      X 28-5284      2450
                                                             394,020      17,274       X        28-11135    17274
CRESCENT FINL CORP           COM            225744101         15,203       2,644       X      X 28-5284                         2644
   COLUMN TOTAL                                           26,549,754







                                                                                                                    FILE NO. 28-1235
PAGE  61 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
CROCS INC                    COM            227046109        105,652      13,190       X      X 28-5284     13190
CROSS TIMBERS RTY TR         TR UNIT        22757R109         48,144         800       X        28-5284       800
                                                           3,520,831      58,505       X      X 28-5284     58505
CROSSTEX ENERGY L P          COM            22765U102         28,680       1,000       X        28-5284      1000
                                                               8,604         300       X      X 28-5284       300
CROSSTEX ENERGY INC          COM            22765Y104         10,398         300       X        28-5284       300
CROWN CASTLE INTL CORP       COM            228227104        446,518      11,529       X        28-5284     11529
                                                              23,315         602       X      X 28-5284       602
CROWN HOLDINGS INC           COM            228368106        194,925       7,500       X        28-5284      7500
                                                              25,990       1,000       X      X 28-5284      1000
CRUCELL N V                  SPONSORED ADR  228769105          4,730         296       X        28-5284       296
CRYOLIFE INC                 COM            228903100          1,716         150       X        28-5284                          150
CRYSTAL RIV CAP INC          COM            229393301          1,464         400       X        28-5284       400
CRYSTALLEX INTL CORP         COM            22942F101          1,120       1,000       X        28-5284      1000
CTRIP COM INTL LTD           ADR            22943F100            916          20       X        28-5284        20
CUBIC CORP                   COM            229669106          4,456         200       X        28-5284       200
CULLEN FROST BANKERS INC     COM            229899109      2,724,951      54,663       X        28-5284     52928               1735
                                                             260,267       5,221       X      X 28-5284      4711                510
                                                              56,530       1,134       X        28-11135     1134
                                                             199,400       4,000       X      X 28-4580      4000
CUMMINS INC                  COM            231021106     10,449,392     159,484       X        28-5284    155294               4190
                                                           5,330,707      81,360       X      X 28-5284     78920      1300     1140
                                                           1,051,203      16,044       X        28-11135    16044
                                                             602,784       9,200       X        28-4580      9200
                                                              26,208         400       X      X 28-4580       400
CUMULUS MEDIA INC            CL A           231082108          2,857         725       X        28-5284       725
CURAGEN CORP                 COM            23126R101          9,600      10,000       X      X 28-5284     10000
   COLUMN TOTAL                                           25,141,358







                                                                                                                    FILE NO. 28-1235
PAGE  62 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
CURRENCYSHARES AUSTRALIAN DL AUSTRALIAN DOL 23129U101         49,103         509       X      X 28-5284       509
CURRENCYSHARES SWISS FRANC T SWISS FRANC SH 23129V109         29,400         300       X        28-5284       300
CURRENCY SHARES EURO TR      EURO SHS       23130C108         89,168         565       X        28-5284       565
                                                              34,720         220       X      X 28-5284       220
CURTISS WRIGHT CORP          COM            231561101         32,571         728       X        28-5284       368                360
                                                              76,058       1,700       X      X 28-5284       200               1500
CYBERSOURCE CORP             COM            23251J106          1,171          70       X        28-5284        70
CYBEROPTICS CORP             COM            232517102        339,129      34,605       X        28-11135    34605
CYMER INC                    COM            232572107          6,989         260       X        28-5284                          260
CYPRESS SEMICONDUCTOR CORP   COM            232806109          2,970         120       X        28-5284                          120
                                                             153,450       6,200       X      X 28-5284      6200
CYTEC INDS INC               COM            232820100         10,967         201       X        28-5284       201
                                                             110,975       2,034       X      X 28-5284      1155                879
DCP MIDSTREAM PARTNERS LP    COM UT LTD PTN 23311P100         77,513       2,650       X        28-5284      2650
DCT INDUSTRIAL TRUST INC     COM            233153105            124          15       X      X 28-5284        15
DDI CORP                     COM 0.0001 NEW 233162502      6,192,650   1,030,391       X      X 28-5284             1030391
DNP SELECT INCOME FD         COM            23325P104        241,715      23,175       X        28-5284     23175
                                                           1,142,022     109,494       X      X 28-5284     12500              96994
                                                              26,294       2,521       X        28-4580      2521
DG FASTCHANNEL INC           COM            23326R109         86,250       5,000       X      X 28-5284      5000
DPL INC                      COM            233293109        430,100      16,304       X        28-5284     15224               1080
                                                             578,856      21,943       X      X 28-5284     17451               4492
DRS TECHNOLOGIES INC         COM            23330X100         78,720       1,000       X        28-5284      1000
                                                             316,454       4,020       X      X 28-5284        75               3945
D R HORTON INC               COM            23331A109        338,336      31,183       X        28-5284     10165              21018
   COLUMN TOTAL                                           10,445,705







                                                                                                                    FILE NO. 28-1235
PAGE  63 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
DST SYS INC DEL              COM            233326107         83,951       1,525       X        28-5284      1525
                                                              11,010         200       X      X 28-5284       200
                                                              23,672         430       X      X 28-4580       430
DTE ENERGY CO                COM            233331107        313,037       7,376       X        28-5284      6109               1267
                                                             223,065       5,256       X      X 28-5284      4866                390
                                                              17,952         423       X      X 28-4580       423
DTF TAX-FREE INCOME INC      COM            23334J107         27,263       2,030       X      X 28-5284      2030
DSW INC                      CL A           23334L102          3,534         300       X      X 28-5284       300
DWS MULTI MKT INCOME TR      SHS            23338L108         52,371       6,325       X      X 28-5284      6325
DWS RREEF REAL ESTATE FD II  COM            23338X102         21,312       1,850       X        28-5284      1850
DWS DREMAN VAL INCOME EDGE F COM            23339M105         12,051         900       X        28-5284       900
                                                              24,102       1,800       X      X 28-5284      1800
DAKTRONICS INC               COM            234264109         69,587       3,450       X        28-5284      3450
                                                             286,414      14,200       X      X 28-5284      4775               9425
                                                             141,311       7,006       X        28-11135     7006
DANAHER CORP DEL             COM            235851102      8,123,302     105,088       X        28-5284     91639              13449
                                                           9,045,569     117,019       X      X 28-5284    100259      2300    14460
                                                             312,369       4,041       X        28-11135     4041
                                                              30,920         400       X        28-4580       400
DARDEN RESTAURANTS INC       COM            237194105      1,712,112      53,604       X        28-5284     53604
                                                             591,912      18,532       X      X 28-5284     17275               1257
DARLING INTL INC             COM            237266101         80,948       4,900       X        28-11135     4900
DASSAULT SYS S A             SPONSORED ADR  237545108         30,288         498       X        28-5284       498
                                                              12,955         213       X      X 28-5284       213
DATASCOPE CORP               COM            238113104          5,170         110       X        28-5284                          110
DAVITA INC                   COM            23918K108        104,082       1,959       X        28-5284      1959
                                                               2,657          50       X      X 28-5284        50
DAWSON GEOPHYSICAL CO        COM            239359102         13,676         230       X        28-5284       230
                                                               1,546          26       X        28-11135       26
   COLUMN TOTAL                                           21,378,138







                                                                                                                    FILE NO. 28-1235
PAGE  64 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
DAXOR CORP                   COM            239467103          9,510         600       X        28-5284       600
DAYSTAR TECHNOLOGIES INC     COM            23962Q100          4,570       1,000       X      X 28-5284      1000
DEAN FOODS CO NEW            COM            242370104        110,264       5,620       X        28-5284      5620
                                                              71,142       3,626       X      X 28-5284      3626
                                                              55,662       2,837       X        28-11135     2837
DECODE GENETICS INC          COM            243586104          1,407       1,500       X        28-5284      1500
DECORATOR INDS INC           COM PAR $0.20  243631207            245         100       X      X 28-5284       100
DEERE & CO                   COM            244199105      4,634,064      64,246       X        28-5284     62256               1990
                                                           5,479,500      75,967       X      X 28-5284     63807              12160
                                                              70,399         976       X        28-11135      976
                                                              80,786       1,120       X        28-4580      1120
DEERFIELD CAPITAL CORP       COM            244331104             24          31       X        28-5284        31
                                                               3,160       4,000       X      X 28-5284      4000
DEL MONTE FOODS CO           COM            24522P103        681,394      95,971       X        28-5284     87778               8193
                                                             477,454      67,247       X      X 28-5284     62688        44     4515
                                                              18,062       2,544       X        28-4580      2544
                                                               6,482         913       X      X 28-4580       913
DELAWARE INVTS DIV & INCOME  COM            245915103         13,500       1,500       X        28-5284      1500
DELL INC                     COM            24702R101     13,396,818     612,286       X        28-5284    536336              75950
                                                           8,123,628     371,281       X      X 28-5284    318488      6499    46294
                                                             228,208      10,430       X        28-11135    10430
                                                              10,940         500       X        28-4580       500
                                                              89,708       4,100       X      X 28-4580      4100
DELPHI FINL GROUP INC        CL A           247131105          7,868         340       X        28-5284                          340
                                                               6,942         300       X      X 28-5284                          300
                                                              49,612       2,144       X        28-11135     2144
DELTA AIR LINES INC DEL      COM NEW        247361702            735         129       X        28-5284       129
                                                              15,293       2,683       X      X 28-5284                2683
DELTA NAT GAS INC            COM            247748106         15,672         600       X        28-5284       600
                                                               9,142         350       X      X 28-5284       350
   COLUMN TOTAL                                           33,672,191







                                                                                                                    FILE NO. 28-1235
PAGE  65 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
DELTIC TIMBER CORP           COM            247850100          5,351         100       X        28-5284                          100
DELTA PETE CORP              COM NEW        247907207      5,567,060     218,145       X        28-5284    218145
DENBURY RES INC              COM NEW        247916208         37,960       1,040       X        28-5284      1040
                                                           1,680,825      46,050       X      X 28-5284     46050
                                                              12,337         338       X        28-11135      338
DELUXE CORP                  COM            248019101         15,343         861       X        28-5284       361                500
DENISON MINES CORP           COM            248356107         24,365       2,775       X        28-5284      2775
DENTSPLY INTL INC NEW        COM            249030107      4,401,501     119,606       X        28-5284    117573               2033
                                                           2,983,818      81,082       X      X 28-5284     77412               3670
                                                                 331           9       X        28-11135        9
                                                              11,776         320       X        28-4580       320
                                                              31,648         860       X      X 28-4580       860
DEUTSCHE TELEKOM AG          SPONSORED ADR  251566105         25,341       1,548       X        28-5284      1548
                                                           2,446,366     149,442       X      X 28-5284    149442
                                                              93,669       5,722       X        28-11135     5722
DEVELOPERS DIVERSIFIED RLTY  COM            251591103        834,602      24,045       X        28-5284     24045
                                                             435,715      12,553       X      X 28-5284     12553
DEVON ENERGY CORP NEW        COM            25179M103     22,674,192     188,700       X        28-5284    174046              14654
                                                           7,971,535      66,341       X      X 28-5284     55625      1635     9081
                                                               2,884          24       X        28-11135       24
                                                             207,036       1,723       X        28-4580      1723
                                                             120,160       1,000       X      X 28-4580      1000
DEVRY INC DEL                COM            251893103        293,784       5,479       X        28-5284                         5479
                                                             455,931       8,503       X      X 28-5284      2403               6100
                                                               7,614         142       X        28-11135      142
DIAGEO P L C                 SPON ADR NEW   25243Q205        634,248       8,586       X        28-5284      6531               2055
                                                           2,369,971      32,083       X      X 28-5284     22783               9300
                                                             165,026       2,234       X        28-11135     2234
                                                             221,610       3,000       X      X 28-4580      3000
DIAMOND FOODS INC            COM            252603105         46,080       2,000       X      X 28-5284                         2000
   COLUMN TOTAL                                           53,778,079







                                                                                                                    FILE NO. 28-1235
PAGE  66 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
DIAMOND OFFSHORE DRILLING IN COM            25271C102      5,331,706      38,319       X        28-5284     25057              13262
                                                           4,474,882      32,161       X      X 28-5284     27586               4575
                                                                 557           4       X        28-11135        4
                                                              27,828         200       X        28-4580       200
DIAMONDROCK HOSPITALITY CO   COM            252784301            762          70       X      X 28-5284        70
DIAMONDS TR                  UNIT SER 1     252787106     12,082,859     106,532       X        28-5284    104030               2502
                                                           7,861,027      69,309       X      X 28-5284     69290                 19
                                                              55,122         486       X        28-4580       486
DICKS SPORTING GOODS INC     COM            253393102        668,000      37,655       X        28-5284     37157                498
                                                             753,648      42,483       X      X 28-5284     41463               1020
                                                              17,740       1,000       X        28-4580      1000
DIEBOLD INC                  COM            253651103         51,449       1,446       X        28-5284      1246                200
                                                              66,214       1,861       X      X 28-5284      1061                800
                                                               5,337         150       X      X 28-4580       150
DIGI INTL INC                COM            253798102          1,256         160       X        28-5284                          160
DIGIMARC CORP                COM            253807101         13,806         975       X        28-5284       975
DIGITAL RLTY TR INC          COM            253868103        608,741      14,880       X        28-5284     14880
                                                              37,105         907       X      X 28-5284       907
DIME CMNTY BANCSHARES        COM            253922108          2,807         170       X        28-5284                          170
DILLARDS INC                 CL A           254067101          5,785         500       X        28-5284       500
DIME BANCORP INC NEW         *W EXP 99/99/9 25429Q110            674       2,277       X        28-5284      2177                100
                                                                 647       2,187       X      X 28-5284                2187
DIODES INC                   COM            254543101         72,638       2,628       X        28-11135     2628
DIONEX CORP                  COM            254546104         10,619         160       X        28-5284                          160
                                                             318,576       4,800       X      X 28-5284      4800
DIRECTV GROUP INC            COM            25459L106        393,677      15,194       X        28-5284     14423                771
                                                             272,029      10,499       X      X 28-5284      9347               1152
                                                             954,239      36,829       X        28-11135    36829
                                                               4,249         164       X        28-4580       164
                                                               4,793         185       X      X 28-4580       185
   COLUMN TOTAL                                           34,098,772







                                                                                                                    FILE NO. 28-1235
PAGE  67 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
DISCOVERY LABORATORIES INC N COM            254668106         24,750      15,000       X        28-5284     15000
                                                              13,200       8,000       X      X 28-5284      8000
DISCOVERY HOLDING CO         CL A COM       25468Y107      3,619,118     164,805       X        28-5284    147284              17521
                                                           4,944,711     225,169       X      X 28-5284    205749              19420
                                                               1,954          89       X        28-11135       89
                                                              13,308         606       X        28-4580       606
DISNEY WALT CO               COM DISNEY     254687106     60,147,266   1,927,797       X        28-5284   1821013             106784
                                                          49,911,982   1,599,743       X      X 28-5284   1473160     16326   110257
                                                             520,010      16,667       X        28-11135    16667
                                                           1,039,709      33,324       X        28-4580     33104                220
                                                             509,184      16,320       X      X 28-4580     16320
DISH NETWORK CORP            CL A           25470M109      1,123,854      38,383       X        28-5284     35943               2440
                                                              87,459       2,987       X      X 28-5284      2987
                                                               1,903          65       X        28-11135       65
                                                               6,149         210       X      X 28-4580       210
DISCOVER FINL SVCS           COM            254709108      1,925,612     146,212       X        28-5284    117200              29012
                                                           1,730,130     131,369       X      X 28-5284    121063       100    10206
                                                             530,409      40,274       X        28-11135    40274
                                                               2,963         225       X        28-11439      225
                                                               9,983         758       X        28-4580       758
                                                              31,239       2,372       X      X 28-4580      2372
DISTRIBUTED ENERGY SYS CORP  COM            25475V104             45         900       X      X 28-5284       900
DITECH NETWORKS INC          COM            25500T108      2,636,152   1,226,117       X      X 28-5284             1223531     2586
DOLAN MEDIA CO               COM            25659P402          9,701         533       X        28-11135      533
DOLBY LABORATORIES INC       COM            25659T107      4,786,149     118,763       X        28-5284    116926               1837
                                                           2,558,083      63,476       X      X 28-5284     63376                100
                                                              10,196         253       X        28-11135      253
                                                              15,274         379       X        28-4580       379
DOLLAR TREE INC              COM            256746108         95,161       2,911       X        28-5284      2611                300
DOMINION RES BLACK WARRIOR T UNITS BEN INT  25746Q108          9,992         400       X        28-5284       400
                                                              47,462       1,900       X      X 28-5284      1500                400
   COLUMN TOTAL                                          136,363,108







                                                                                                                    FILE NO. 28-1235
PAGE  68 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
DOMINION RES INC VA NEW      COM            25746U109     29,141,669     613,638       X        28-5284    602068              11570
                                                          29,253,887     616,001       X      X 28-5284    567178      1426    47397
                                                              65,774       1,385       X        28-11135     1385
                                                             297,572       6,266       X        28-4580      6266
                                                           1,068,905      22,508       X      X 28-4580     19008               3500
DOMINOS PIZZA INC            COM            25754A201          3,450         300       X      X 28-5284       300
DOMTAR CORP                  COM            257559104         70,163      12,874       X        28-5284     12874
                                                               1,466         269       X      X 28-5284       269
DONALDSON INC                COM            257651109      1,509,636      33,818       X        28-5284     33818
                                                           1,629,583      36,505       X      X 28-5284      9815              26690
DONEGAL GROUP INC            CL A           257701201         69,638       4,388       X        28-5284      4388
DONEGAL GROUP INC            CL B           257701300         10,848         616       X        28-5284       616
DONNELLEY R R & SONS CO      COM            257867101        736,312      24,800       X        28-5284     19835               4965
                                                           1,255,590      42,290       X      X 28-5284     38160               4130
                                                             780,164      26,277       X        28-11135    26277
DORCHESTER MINERALS LP       COM UNIT       25820R105         31,800       1,000       X      X 28-5284      1000
DOUGLAS EMMETT INC           COM            25960P109        149,835       6,820       X        28-5284      6820
                                                               9,008         410       X      X 28-5284       410
DOVER CORP                   COM            260003108     13,357,182     276,146       X        28-5284    254641              21505
                                                          10,807,116     223,426       X      X 28-5284    182715      8000    32711
                                                             484,619      10,019       X        28-11135    10019
                                                             154,784       3,200       X        28-4580      3200
                                                              48,370       1,000       X      X 28-4580      1000
DOW CHEM CO                  COM            260543103     17,939,306     513,873       X        28-5284    467620              46253
                                                          24,941,380     714,448       X      X 28-5284    679224       100    35124
                                                              42,555       1,219       X        28-11135     1219
                                                             242,310       6,941       X        28-4580      6941
                                                              50,620       1,450       X      X 28-4580      1450
DOW 30 COVERED CALL FD INC   COM            260582101         21,725       1,250       X      X 28-5284      1250
DOWNEY FINL CORP             COM            261018105            443         160       X        28-5284                          160
                                                                  75          27       X        28-11135       27
   COLUMN TOTAL                                          134,175,785







                                                                                                                    FILE NO. 28-1235
PAGE  69 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
DR PEPPER SNAPPLE GROUP INC  COM            26138E109          6,483         309       X        28-5284       309
                                                              46,743       2,228       X      X 28-5284      2228
                                                               5,560         265       X        28-11135      265
                                                              89,627       4,272       X      X 28-4580      4272
DRESS BARN INC               COM            261570105          4,415         330       X        28-5284                          330
DRESSER-RAND GROUP INC       COM            261608103        539,580      13,800       X        28-5284      2600              11200
                                                             312,800       8,000       X      X 28-5284                         8000
DREW INDS INC                COM NEW        26168L205         63,800       4,000       X      X 28-5284      4000
DREYFUS STRATEGIC MUNS INC   COM            261932107         48,405       6,013       X        28-5284      6013
                                                                 902         112       X      X 28-5284       112
DREYFUS HIGH YIELD STRATEGIE SH BEN INT     26200S101         45,824      12,800       X      X 28-5284                        12800
DREYFUS STRATEGIC MUN BD FD  COM            26202F107         38,594       5,105       X      X 28-5284      5105
DRIL-QUIP INC                COM            262037104         20,160         320       X        28-5284       100                220
DU PONT E I DE NEMOURS & CO  COM            263534109     55,973,981   1,305,059       X        28-5284   1249072              55987
                                                          75,788,646   1,767,047       X      X 28-5284   1564804      8972   193271
                                                             821,344      19,150       X        28-11135    19150
                                                          13,364,138     311,591       X        28-4580    311591
                                                          12,076,494     281,569       X      X 28-4580    276649       472     4448
DUFF & PHELPS UTIL CORP BD T COM            26432K108         12,588       1,182       X        28-5284      1182
                                                             157,620      14,800       X      X 28-5284       600              14200
DUKE ENERGY CORP NEW         COM            26441C105      5,224,550     300,607       X        28-5284    294522               6085
                                                           7,275,946     418,639       X      X 28-5284    373101              45538
                                                              15,607         898       X        28-11135      898
                                                              37,158       2,138       X        28-4580      2138
                                                             279,662      16,091       X      X 28-4580     16091
DUKE REALTY CORP             COM NEW        264411505      1,675,039      74,612       X        28-5284     70912               3700
                                                           2,461,575     109,647       X      X 28-5284    106247               3400
                                                              10,619         473       X        28-11135      473
                                                              17,960         800       X        28-4580       800
                                                              69,595       3,100       X      X 28-4580      3100
   COLUMN TOTAL                                          176,485,415







                                                                                                                    FILE NO. 28-1235
PAGE  70 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
DUN & BRADSTREET CORP DEL NE COM            26483E100      1,212,499      13,835       X        28-5284     13235                600
                                                             524,964       5,990       X      X 28-5284      4027               1963
                                                              17,528         200       X      X 28-4580       200
DUNCAN ENERGY PARTNERS LP    COM UNITS      265026104         18,040       1,000       X      X 28-5284                         1000
DYNAMIC MATLS CORP           COM            267888105          6,590         200       X        28-5284       200
DYNAVAX TECHNOLOGIES CORP    COM            268158102          7,300       5,000       X        28-5284      5000
DYNEGY INC DEL               CL A           26817G102         14,279       1,670       X        28-5284      1670
                                                             163,647      19,140       X      X 28-5284     19140
                                                               1,915         224       X        28-11135      224
                                                                  51           6       X      X 28-4580         6
E M C CORP MASS              COM            268648102     15,799,785   1,075,547       X        28-5284    958817             116730
                                                           7,973,218     542,765       X      X 28-5284    473389              69376
                                                              39,648       2,699       X        28-11135     2699
                                                             102,536       6,980       X        28-4580      6980
                                                             114,582       7,800       X      X 28-4580      7800
EMC INS GROUP INC            COM            268664109          2,408         100       X        28-5284       100
EMS TECHNOLOGIES INC         COM            26873N108         43,680       2,000       X        28-5284      2000
ENSCO INTL INC               COM            26874Q100        696,705       8,629       X        28-5284      8629
                                                             489,688       6,065       X      X 28-5284      5415                650
                                                               4,118          51       X        28-11135       51
ENI S P A                    SPONSORED ADR  26874R108        839,912      11,315       X        28-5284     11315
                                                                 891          12       X      X 28-5284        12
                                                             438,031       5,901       X        28-11135     5901
                                                              58,419         787       X        28-4580       787
EOG RES INC                  COM            26875P101     30,852,205     235,154       X        28-5284    233354               1800
                                                          19,315,395     147,221       X      X 28-5284    142521       150     4550
                                                             564,554       4,303       X        28-4580      4303
                                                             123,328         940       X      X 28-4580       940
EPIQ SYS INC                 COM            26882D109        556,441      39,186       X        28-11135    39186
ERP OPER LTD PARTNERSHIP     NOTE  3.850% 8 26884AAV5      4,769,500       5,000       X        28-11439     5000
   COLUMN TOTAL                                           84,751,857







                                                                                                                    FILE NO. 28-1235
PAGE  71 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
EAGLE BANCORP INC MD         COM            268948106          1,563         169       X      X 28-5284       169
ESS TECHNOLOGY INC           COM            269151106      1,137,033     695,433       X      X 28-5284              695433
E TRADE FINANCIAL CORP       COM            269246104         10,048       3,200       X      X 28-5284      3200
EV3 INC                      COM            26928A200         18,960       2,000       X      X 28-5284      2000
EAGLE MATERIALS INC          COM            26969P108          2,533         100       X        28-5284       100
                                                               3,901         154       X      X 28-5284                          154
EARTHLINK INC                COM            270321102            865         100       X        28-5284       100
                                                             108,125      12,500       X      X 28-5284               12500
EAST WEST BANCORP INC        COM            27579R104         32,109       4,548       X        28-5284       668               3880
                                                             291,500      41,289       X      X 28-5284     11489              29800
                                                             163,277      23,127       X        28-11135    23127
EASTERN AMERN NAT GAS TR     SPERS RCT UNIT 276217106         92,520       3,000       X      X 28-5284      3000
EASTERN INS HLDGS INC        COM            276534104         11,700         750       X      X 28-5284       750
EASTGROUP PPTY INC           COM            277276101        352,853       8,225       X        28-5284      8225
                                                              18,447         430       X      X 28-5284       430
EASTMAN CHEM CO              COM            277432100        167,123       2,427       X        28-5284      2427
                                                             566,374       8,225       X      X 28-5284      5325               2900
                                                              16,733         243       X        28-4580       243
EASTMAN KODAK CO             NOTE  3.375%10 277461BE8     21,495,800      23,000       X        28-11439    23000
EASTMAN KODAK CO             COM            277461109        426,854      29,581       X        28-5284     19459              10122
                                                             191,602      13,278       X      X 28-5284     12803                475
EATON CORP                   COM            278058102      4,654,572      54,779       X        28-5284     47054               7725
                                                           5,411,229      63,684       X      X 28-5284     55238               8446
                                                             239,106       2,814       X        28-11135     2814
EATON VANCE SR INCOME TR     SH BEN INT     27826S103          6,620       1,000       X        28-5284      1000
EATON VANCE PA MUNI INCOME T SH BEN INT     27826T101         60,270       4,920       X        28-5284      4920
   COLUMN TOTAL                                           35,481,717







                                                                                                                    FILE NO. 28-1235
PAGE  72 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
EATON VANCE MUNI INCOME TRUS SH BEN INT     27826U108          9,177         700       X      X 28-5284       700
EATON VANCE NJ MUNI INCOME T SH BEN INT     27826V106         12,160       1,000       X        28-5284      1000
EATON VANCE CORP             COM NON VTG    278265103        123,375       3,103       X        28-5284      3103
                                                           1,073,520      27,000       X      X 28-5284     27000
                                                               4,374         110       X        28-11135      110
EATON VANCE INS MUN BD FD    COM            27827X101         32,055       2,412       X        28-5284      2412
                                                              79,740       6,000       X      X 28-5284      6000
EATON VANCE ENHANCED EQ INC  COM            278274105         20,976       1,200       X        28-5284      1200
                                                              43,927       2,513       X      X 28-5284      2513
EATON VANCE ENH EQTY INC FD  COM            278277108         20,592       1,200       X        28-5284      1200
EATON VANCE FLTING RATE INC  COM            278279104         14,510       1,000       X        28-5284      1000
EATON VANCE TAX ADVT DIV INC COM            27828G107        100,236       4,328       X        28-5284      4328
                                                              92,130       3,978       X      X 28-5284      3978
EATON VANCE LTD DUR INCOME F COM            27828H105         56,816       3,920       X        28-5284      3920
                                                              57,976       4,000       X      X 28-5284      1000               3000
EATON VANCE TX MGD DIV EQ IN COM            27828N102         15,240       1,000       X        28-5284      1000
                                                              69,342       4,550       X      X 28-5284      4550
                                                              21,336       1,400       X        28-4580      1400
EATON VANCE TX ADV GLBL DIV  COM            27828S101         49,676       2,285       X        28-5284      2285
                                                             358,601      16,495       X      X 28-5284     16495
EATON VANCE SH TM DR DIVR IN COM            27828V104         44,776       2,900       X      X 28-5284                         2900
EATON VANCE INS PA MUN BD FD COM            27828W102         73,940       5,610       X        28-5284      5610
                                                              82,204       6,237       X      X 28-5284      6237
EATON VANCE TX MNG BY WRT OP COM            27828Y108        160,377       9,797       X        28-5284      9797
                                                              34,377       2,100       X      X 28-5284      2100
EATON VANCE TXMGD GL BUYWR O COM            27829C105         29,640       1,900       X        28-5284      1900
                                                              31,200       2,000       X      X 28-5284      2000
   COLUMN TOTAL                                            2,712,273







                                                                                                                    FILE NO. 28-1235
PAGE  73 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
EATON VANCE TAX MNG GBL DV E COM            27829F108            624          41       X        28-5284        41
                                                              57,038       3,750       X      X 28-5284      3750
EATON VANCE RISK MNGD DIV EQ COM            27829G106         28,365       1,500       X        28-5284      1500
EBAY INC                     COM            278642103      4,372,964     160,006       X        28-5284    140986              19020
                                                           2,389,462      87,430       X      X 28-5284     63210      1600    22620
                                                             502,653      18,392       X        28-11135    18392
                                                              57,393       2,100       X        28-4580      2100
                                                              17,765         650       X      X 28-4580       650
ECHELON CORP                 COM            27874N105         16,350       1,500       X        28-5284      1500
ECHOSTAR CORP                CL A           278768106          2,716          87       X        28-5284        87
                                                               1,623          52       X      X 28-5284        52
                                                                 406          13       X        28-11135       13
                                                               1,311          42       X      X 28-4580        42
ECOLAB INC                   COM            278865100        886,368      20,618       X        28-5284     20248                370
                                                           1,985,063      46,175       X      X 28-5284     26845              19330
                                                              21,495         500       X        28-4580       500
                                                              19,346         450       X      X 28-4580       450
EDEN BIOSCIENCE CORP         COM PAR $.0025 279445878         67,397      44,931       X      X 28-5284               44931
EDGEWATER TECHNOLOGY INC     COM            280358102        371,597      76,147       X      X 28-5284               76147
EDISON INTL                  COM            281020107        508,868       9,904       X        28-5284      3267               6637
                                                             514,108      10,006       X      X 28-5284      9456                550
                                                             131,481       2,559       X        28-11135     2559
EDUCATION RLTY TR INC        COM            28140H104          6,384         548       X        28-5284       548
EDWARDS LIFESCIENCES CORP    COM            28176E108        151,812       2,447       X        28-5284      2090                357
                                                              64,335       1,037       X      X 28-5284       747                290
EL PASO CORP                 COM            28336L109        102,548       4,717       X        28-5284      4717
                                                             380,167      17,487       X      X 28-5284     14487               3000
                                                               8,696         400       X        28-4580       400
EL PASO ELEC CO              COM NEW        283677854          6,336         320       X        28-5284                          320
EL PASO ENERGY CAP TR I      PFD CV TR SECS 283678209          8,200         200       X        28-5284       200
   COLUMN TOTAL                                           12,682,871







                                                                                                                    FILE NO. 28-1235
PAGE  74 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
ELAN PLC                     ADR            284131208        113,369       3,189       X        28-5284      3189
                                                              23,108         650       X      X 28-5284       650
                                                               1,600          45       X        28-11135       45
ELDORADO GOLD CORP NEW       COM            284902103          2,595         300       X      X 28-5284       300
ELECTRO ENERGY INC           COM            285106100            248         400       X      X 28-5284       400
ELECTRO SCIENTIFIC INDS      COM            285229100          3,117         220       X        28-5284                          220
ELECTRONIC ARTS INC          COM            285512109      1,348,850      30,359       X        28-5284     27784               2575
                                                           1,294,601      29,138       X      X 28-5284     20385       150     8603
                                                                 889          20       X        28-11135       20
                                                               6,665         150       X        28-4580       150
ELECTRONIC DATA SYS NEW      COM            285661104        463,873      18,826       X        28-5284     13026               5800
                                                             496,619      20,155       X      X 28-5284     19435                720
                                                               9,856         400       X        28-4580       400
                                                              10,226         415       X      X 28-4580       415
EMBARQ CORP                  COM            29078E105         54,928       1,162       X        28-5284      1109                 53
                                                             468,588       9,913       X      X 28-5284      9680       153       80
EMBRAER-EMPRESA BRASILEIRA D SP ADR COM SHS 29081M102         76,850       2,900       X      X 28-5284      2900
                                                                 239           9       X        28-11135        9
EMCOR GROUP INC              COM            29084Q100         14,265         500       X        28-5284                          500
                                                             326,269      11,436       X        28-11135    11436
EMCORE CORP                  COM            290846104          4,382         700       X        28-5284       700
                                                              12,520       2,000       X      X 28-5284      2000
EMERGING MKTS TELECOMNC FD N COM            290890102         14,302         699       X        28-5284       699
                                                               4,072         199       X      X 28-5284       199
EMERSON ELEC CO              COM            291011104     77,471,930   1,566,672       X        28-5284   1485519              81153
                                                          79,497,749   1,607,639       X      X 28-5284   1480365     14217   113057
                                                             248,091       5,017       X        28-11135     5017
                                                           1,483,995      30,010       X        28-4580     28210               1800
                                                           2,010,093      40,649       X      X 28-4580     39231      1418
EMERSON RADIO CORP           COM NEW        291087203      1,125,664     945,936       X      X 28-5284              945936
   COLUMN TOTAL                                          166,589,553







                                                                                                                    FILE NO. 28-1235
PAGE  75 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
EMPIRE DIST ELEC CO          COM            291641108          7,416         400       X      X 28-5284       300                100
EMPLOYERS HOLDINGS INC       COM            292218104          1,573          76       X        28-5284        76
EMULEX CORP                  COM NEW        292475209          3,495         300       X      X 28-5284       300
ENBRIDGE INC                 COM            29250N105         21,590         500       X      X 28-5284       500
                                                               2,029          47       X        28-4580        47
ENBRIDGE ENERGY PARTNERS L P COM            29250R106        761,693      15,140       X        28-5284     15140
                                                           2,706,678      53,800       X      X 28-5284     53100                700
ENCANA CORP                  COM            292505104        525,121       5,775       X        28-5284      5775
                                                           2,786,459      30,644       X      X 28-5284     24144               6500
                                                               7,820          86       X        28-11135       86
                                                             204,411       2,248       X      X 28-4580      2248
ENCORE ACQUISITION CO        COM            29255W100          4,812          64       X        28-11135       64
ENCORE WIRE CORP             COM            292562105          6,357         300       X        28-5284       300
ENCORE ENERGY PARTNERS LP    COM UNIT       29257A106          8,409         300       X      X 28-5284       300
ENDO PHARMACEUTICALS HLDGS I COM            29264F205          1,742          72       X        28-5284        72
                                                               7,257         300       X      X 28-5284       300
ENERGEN CORP                 COM            29265N108         67,574         866       X        28-5284       866
                                                               3,902          50       X      X 28-5284        50
                                                             422,610       5,416       X        28-11135     5416
ENERGY CONVERSION DEVICES IN COM            292659109         18,410         250       X        28-5284       250
ENERGY EAST CORP             COM            29266M109        229,056       9,266       X        28-5284      6966               2300
                                                             300,768      12,167       X      X 28-5284     12167
                                                              21,778         881       X        28-4580       881
ENERGIZER HLDGS INC          COM            29266R108        125,203       1,713       X        28-5284      1713
                                                             723,591       9,900       X      X 28-5284      9900
ENERGY TRANSFER PRTNRS L P   UNIT LTD PARTN 29273R109        180,401       4,150       X        28-5284      4150
                                                             152,145       3,500       X      X 28-5284      3500
                                                               7,303         168       X        28-11135      168
   COLUMN TOTAL                                            9,309,603







                                                                                                                    FILE NO. 28-1235
PAGE  76 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
ENERPLUS RES FD              UNIT TR G NEW  29274D604        792,230      17,133       X        28-5284      7683               9450
                                                           1,685,448      36,450       X      X 28-5284     36450
ENERSIS S A                  SPONSORED ADR  29274F104         15,580       1,000       X      X 28-5284      1000
                                                             160,349      10,292       X        28-11135    10292
ENERGYSOLUTIONS INC          DEPOSITARY SH  292756202         44,700       2,000       X      X 28-5284      2000
ENERGYSOUTH INC              COM            292970100         14,718         300       X        28-5284       300
ENNIS INC                    COM            293389102          3,130         200       X        28-5284       200
ENTEGRIS INC                 COM            29362U104         10,663       1,628       X      X 28-5284      1628
ENTERCOM COMMUNICATIONS CORP CL A           293639100          1,355         193       X        28-5284       193
                                                              41,320       5,886       X        28-11135     5886
ENTERGY CORP NEW             COM            29364G103     11,918,966      98,929       X        28-5284     94292               4637
                                                           8,731,065      72,469       X      X 28-5284     71899                570
                                                             228,912       1,900       X        28-4580      1900
                                                             111,444         925       X      X 28-4580        75                850
ENTERPRISE GP HLDGS L P      UNIT LP INT    293716106         15,040         500       X      X 28-5284       500
ENTERPRISE PRODS PARTNERS L  COM            293792107        277,794       9,404       X        28-5284      7604               1800
                                                             748,869      25,351       X      X 28-5284     18801      5250     1300
                                                              12,230         414       X        28-11135      414
ENTERTAINMENT PPTYS TR       COM SH BEN INT 29380T105        467,702       9,460       X        28-5284      9390                 70
                                                             524,756      10,614       X      X 28-5284     10614
                                                               1,038          21       X        28-11135       21
ENTREMED INC                 COM            29382F103            550       1,000       X      X 28-5284                         1000
ENTERTAINMENT DIST CO INC    COM            29382J105            100         205       X      X 28-5284                          205
ENZO BIOCHEM INC             COM            294100102          2,345         209       X        28-5284                          209
EQUIFAX INC                  COM            294429105        332,401       9,887       X        28-5284      9887
                                                             281,568       8,375       X      X 28-5284      6875               1500
EQUINIX INC                  COM NEW        29444U502          1,784          20       X        28-5284                           20
   COLUMN TOTAL                                           26,426,057







                                                                                                                    FILE NO. 28-1235
PAGE  77 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
EQUITABLE RES INC            COM            294549100     74,439,152   1,077,891       X        28-5284   1070175               7716
                                                           7,802,882     112,987       X      X 28-5284    103763       115     9109
                                                              17,748         257       X        28-11135      257
                                                             147,029       2,129       X      X 28-4580      2129
EQUITY INCOME FD             UT 1 EX SR-ATT 294700703        121,332       1,200       X        28-5284      1200
                                                              60,666         600       X      X 28-5284       600
EQUITY MEDIA HLDGS CORP      *W EXP 08/26/2 294725114             76       7,587       X      X 28-5284                7587
EQUITY ONE                   COM            294752100         40,381       1,965       X        28-5284      1965
                                                             198,636       9,666       X      X 28-5284      9666
EQUITY RESIDENTIAL           SH BEN INT     29476L107        573,055      14,974       X        28-5284     14574                400
                                                             293,531       7,670       X      X 28-5284      5470               2200
                                                               2,909          76       X        28-11135       76
                                                               2,947          77       X        28-4580        77
EQUITY RESIDENTIAL           PFD CONV E 7%  29476L883         12,837         300       X      X 28-5284       300
ERICSSON L M TEL CO          ADR B SEK 10   294821608         32,906       3,164       X        28-5284      3164
                                                               9,630         926       X      X 28-5284       926
                                                               2,215         213       X        28-11135      213
ERIE INDTY CO                CL A           29530P102      4,267,952      92,480       X        28-5284     92480
                                                             614,487      13,315       X      X 28-5284     13315
ESCO TECHNOLOGIES INC        COM            296315104         14,076         300       X        28-5284       300
ESSA BANCORP INC             COM            29667D104        194,060      15,500       X        28-5284     15500
ESSEX PPTY TR INC            COM            297178105        433,455       4,070       X        28-5284      4070
                                                              31,098         292       X      X 28-5284       292
ESTERLINE TECHNOLOGIES CORP  COM            297425100         11,822         240       X        28-5284                          240
                                                             196,252       3,984       X      X 28-5284      3984
                                                               3,350          68       X        28-11135       68
ETABLISSEMENTS DELHAIZE FRER SPONSORED ADR  29759W101         31,747         472       X        28-5284       472
   COLUMN TOTAL                                           89,556,231







                                                                                                                    FILE NO. 28-1235
PAGE  78 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
ETHAN ALLEN INTERIORS INC    COM            297602104          5,904         240       X        28-5284                          240
                                                               7,380         300       X      X 28-5284       300
                                                             366,343      14,892       X        28-11135    14892
                                                              29,520       1,200       X        28-4580      1200
EVERCORE PARTNERS INC        CLASS A        29977A105         33,250       3,500       X      X 28-4580                         3500
EVERGREEN INCOME ADVANTAGE F COM SHS        30023Y105         48,974       4,700       X      X 28-5284      3500               1200
EVERGREEN MULTI SECT INC FUN COM SHS        30024Y104        258,516      16,700       X      X 28-5284                        16700
EVERGREEN SOLAR INC          COM            30033R108         19,118       1,973       X      X 28-5284      1973
EVOTEC AG                    SPONSORED ADS  30050E105        378,091     114,227       X      X 28-5284              114227
EXACT SCIENCES CORP          COM            30063P105            900         500       X        28-5284       500
EXAR CORP                    COM            300645108          2,111         280       X        28-5284                          280
EXCEL TECHNOLOGY INC         COM            30067T103            156           7       X        28-11135        7
EXELON CORP                  COM            30161N101     78,878,637     876,819       X        28-5284    845521              31298
                                                          58,522,039     650,534       X      X 28-5284    583459      8514    58561
                                                               9,986         111       X        28-11135      111
                                                           2,421,453      26,917       X        28-4580     26372                545
                                                           1,874,766      20,840       X      X 28-4580     20840
EXLSERVICE HOLDINGS INC      COM            302081104          5,612         400       X        28-5284       400
EXPEDIA INC DEL              COM            30212P105          1,856         101       X        28-5284       101
EXPEDITORS INTL WASH INC     COM            302130109        989,473      23,011       X        28-5284     20148               2863
                                                           1,108,325      25,775       X      X 28-5284      9375              16400
                                                              15,265         355       X        28-11135      355
                                                              44,720       1,040       X      X 28-4580      1040
EXPRESSJET HOLDINGS INC      CL A           30218U108            550       1,000       X      X 28-5284      1000
EXPRESS SCRIPTS INC          COM            302182100        490,470       7,820       X        28-5284      4895               2925
                                                             393,505       6,274       X      X 28-5284      3474               2800
                                                             831,793      13,262       X        28-11135    13262
   COLUMN TOTAL                                          146,738,713







                                                                                                                    FILE NO. 28-1235
PAGE  79 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
EXTRA SPACE STORAGE INC      COM            30225T102            876          57       X        28-5284        57
                                                                 353          23       X      X 28-5284        23
EXTERRAN HLDGS INC           COM            30225X103         39,748         556       X        28-5284       556
EZCORP INC                   CL A NON VTG   302301106          2,321         182       X      X 28-5284       182
EXXON MOBIL CORP             COM            30231G102    730,305,373   8,286,683       X        28-5284   7967095      1160   318428
                                                         846,831,476   9,608,890       X      X 28-5284   8658522     46330   904038
                                                             287,039       3,257       X        28-11135     3257
                                                          23,866,309     270,808       X        28-4580    270155                653
                                                          66,121,031     750,267       X      X 28-4580    744482      1000     4785
FBL FINL GROUP INC           CL A           30239F106          9,304         468       X        28-5284                          468
FLIR SYS INC                 COM            302445101         65,074       1,604       X        28-5284      1604
                                                           1,655,256      40,800       X      X 28-5284     26800              14000
                                                             238,065       5,868       X        28-11135     5868
FMC TECHNOLOGIES INC         COM            30249U101      2,929,571      38,081       X        28-5284     25738              12343
                                                           1,976,639      25,694       X      X 28-5284     25694
                                                             350,955       4,562       X        28-11135     4562
F M C CORP                   COM NEW        302491303         34,693         448       X        28-5284       448
                                                              50,336         650       X      X 28-5284       650
FNB CORP PA                  COM            302520101        707,825      60,087       X        28-5284     60087
                                                             444,777      37,757       X      X 28-5284     30401               7356
FPIC INS GROUP INC           COM            302563101         75,141       1,658       X        28-11135     1658
FPL GROUP INC                COM            302571104     57,904,910     882,966       X        28-5284    858436              24530
                                                          55,099,004     840,180       X      X 28-5284    801723      8256    30201
                                                             136,800       2,086       X        28-11135     2086
                                                           1,737,280      26,491       X        28-4580     26491
                                                           1,366,031      20,830       X      X 28-4580     18830               2000
FTD GROUP INC                COM            30267U108         93,310       7,000       X      X 28-5284                7000
                                                              57,439       4,309       X        28-11135     4309
FX ENERGY INC                COM            302695101         31,620       6,000       X        28-4580      6000
FTI CONSULTING INC           COM            302941109         52,030         760       X      X 28-5284       760
   COLUMN TOTAL                                        1,792,470,586







                                                                                                                    FILE NO. 28-1235
PAGE  80 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
FACTSET RESH SYS INC         COM            303075105     20,897,443     370,785       X        28-5284    352669              18116
                                                           9,964,053     176,793       X      X 28-5284    167613      3105     6075
                                                             541,338       9,605       X        28-4580      9443                162
                                                              96,207       1,707       X      X 28-4580      1707
FAIR ISAAC CORP              COM            303250104        127,071       6,118       X        28-5284      6118
                                                              55,041       2,650       X      X 28-5284      1150               1500
                                                             247,641      11,923       X        28-11135    11923
FAIRCHILD SEMICONDUCTOR INTL COM            303726103         30,498       2,600       X      X 28-5284      2600
FAIRPOINT COMMUNICATIONS INC COM            305560104        161,172      22,354       X        28-5284     21503                851
                                                             238,211      33,039       X      X 28-5284     31280        90     1669
                                                                 433          60       X        28-11135       60
                                                               9,027       1,252       X        28-11439     1252
                                                               1,723         239       X        28-4580       239
                                                               9,171       1,272       X      X 28-4580      1258        11        3
FAMILY DLR STORES INC        COM            307000109        234,315      11,751       X        28-5284      6775               4976
                                                              87,736       4,400       X      X 28-5284      4400
FARO TECHNOLOGIES INC        COM            311642102        563,808      22,400       X      X 28-5284     22400
FASTENAL CO                  COM            311900104        418,005       9,685       X        28-5284      9585                100
                                                           4,036,539      93,525       X      X 28-5284     29100              64425
FAUQUIER BANKSHARES INC VA   COM            312059108        285,120      17,280       X      X 28-5284     17280
FEDERAL HOME LN MTG CORP     COM            313400301        660,510      40,275       X        28-5284     32435               7840
                                                             673,269      41,053       X      X 28-5284     24403      6400    10250
                                                               3,280         200       X        28-4580       200
                                                              16,482       1,005       X      X 28-4580      1005
FEDERAL MOGUL CORP           CL A           313549404        226,320      14,031       X      X 28-5284               14031
FEDERAL NATL MTG ASSN        COM            313586109      4,534,865     232,438       X        28-5284    220293              12145
                                                           3,270,442     167,629       X      X 28-5284    154812              12817
                                                               4,975         255       X        28-11135      255
                                                              40,639       2,083       X        28-4580      2083
                                                               7,804         400       X      X 28-4580       400
FEDERAL REALTY INVT TR       SH BEN INT NEW 313747206      1,192,320      17,280       X        28-5284     17280
                                                           1,945,455      28,195       X      X 28-5284     26995               1200
   COLUMN TOTAL                                           50,580,913







                                                                                                                    FILE NO. 28-1235
PAGE  81 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
FEDERATED INVS INC PA        CL B           314211103          7,641         222       X        28-5284       222
                                                               5,163         150       X      X 28-5284       150
                                                               2,926          85       X        28-11135       85
FEDERATED PREM MUN INC FD    COM            31423P108        181,840      13,410       X        28-5284     13410
FEDEX CORP                   COM            31428X106      6,890,107      87,449       X        28-5284     75822              11627
                                                           1,659,790      21,066       X      X 28-5284     16499               4567
                                                              82,651       1,049       X        28-11135     1049
                                                             264,419       3,356       X        28-4580      3356
                                                              25,686         326       X      X 28-4580       326
FELCOR LODGING TR INC        PFD CV A $1.95 31430F200         19,060       1,000       X      X 28-5284      1000
FELDMAN MALL PPTYS INC       COM            314308107          2,371       2,175       X        28-5284      2175
                                                               1,090       1,000       X      X 28-5284      1000
FERRELLGAS PARTNERS L.P.     UNIT LTD PART  315293100         19,680       1,000       X        28-5284      1000
                                                              70,848       3,600       X      X 28-5284      3600
F5 NETWORKS INC              COM            315616102         22,736         800       X      X 28-5284       800
FIBERTOWER CORP              NOTE  9.000%11 31567RAC4     73,500,000   1,000,000       X      X 28-5284             1000000
FIBERTOWER CORP              COM            31567R100        144,661     103,329       X      X 28-5284              103329
FIDELITY BANCORP INC         COM            315831107         17,768       1,426       X        28-5284      1426
FIDELITY NATL INFORMATION SV COM            31620M106        135,054       3,659       X        28-5284      3659
                                                           3,386,493      91,750       X      X 28-5284     91750
FIDELITY NATIONAL FINANCIAL  CL A           31620R105      2,900,520     230,200       X        28-5284    208543              21657
                                                           2,618,343     207,805       X      X 28-5284    203215               4590
FIFTH THIRD BANCORP          COM            316773100      3,887,264     381,853       X        28-5284    357753              24100
                                                           2,011,395     197,583       X      X 28-5284    190208      6000     1375
FINANCIAL FED CORP           COM            317492106          4,392         200       X        28-5284                          200
                                                              61,488       2,800       X        28-11135     2800
FINISAR                      COM            31787A101     18,720,653  15,731,641       X        28-5284  15731641
   COLUMN TOTAL                                          116,644,039







                                                                                                                    FILE NO. 28-1235
PAGE  82 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
FINLAY ENTERPRISES INC       COM NEW        317884203            903       2,100       X        28-5284      2100
FINISH LINE INC              CL A           317923100            731          84       X      X 28-5284        84
FIRST AMERN CORP CALIF       COM            318522307        130,310       4,936       X        28-5284      4936
FIRST BANCORP P R            COM            318672102          3,487         550       X        28-5284                          550
                                                                 418          66       X        28-11135       66
FIRST CASH FINL SVCS INC     COM            31942D107         24,299       1,621       X      X 28-5284      1621
FIRST CTZNS BANCSHARES INC N CL A           31946M103        107,826         773       X        28-5284       773
FIRST COMWLTH FINL CORP PA   COM            319829107        297,748      31,913       X        28-5284     31913
                                                             235,079      25,196       X      X 28-5284     20196               5000
FIRST FRANKLIN CORP          COM            320272107        115,553      16,275       X        28-5284                        16275
                                                              85,200      12,000       X      X 28-5284     12000
FIRST HORIZON NATL CORP      COM            320517105        165,474      22,271       X        28-5284     22271
                                                              11,517       1,550       X      X 28-5284      1550
FIRST INDUSTRIAL REALTY TRUS COM            32054K103         27,745       1,010       X        28-5284      1010
                                                             227,177       8,270       X      X 28-5284      8270
FIRST ISRAEL FD INC          COM            32063L100         65,919       3,650       X        28-5284       400               3250
FIRST MARBLEHEAD CORP        COM            320771108            925         360       X        28-5284       350                 10
FIRST MARINER BANCORP        COM            320795107         15,500       5,000       X      X 28-5284                         5000
FIRST MIDWEST BANCORP DEL    COM            320867104          7,460         400       X        28-5284                          400
FIRST POTOMAC RLTY TR        COM            33610F109         19,812       1,300       X        28-5284      1300
                                                              15,240       1,000       X      X 28-5284      1000
FIRST SOLAR INC              COM            336433107         96,578         354       X        28-5284       354
                                                              30,283         111       X      X 28-5284       111
                                                               2,455           9       X        28-11135        9
FIRST TR MORNINGSTAR DIV LEA SHS            336917109          9,477         650       X      X 28-4580       650
FIRST TR ISE CHINDIA INDEX F COM            33733A102         13,226         668       X        28-5284       668
   COLUMN TOTAL                                            1,710,342







                                                                                                                    FILE NO. 28-1235
PAGE  83 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
FIRST TR FOUR CRNRS SR FLT R COM SHS        33733Q107         35,425       2,500       X        28-5284      2500
FIRST TR/FOUR CRNRS SR FLOAT COM            33733U108         38,340       2,700       X        28-5284      2700
                                                              15,293       1,077       X      X 28-5284      1077
FIRST TRUST FIDAC MTG INCM F COM SHS        33734E103        430,920      25,200       X      X 28-5284                        25200
FIRST TR VALUE LINE DIVID IN SHS            33734H106        109,640       7,837       X        28-5284      7837
FIRST TR STRTGC HIGH INCM FD COM            337347108          5,727         505       X        28-5284       505
FIRST UTD CORP               COM            33741H107         12,716         700       X        28-5284       700
FIRSTSERVICE CORP            SUB VTG SH     33761N109         31,350       2,200       X      X 28-5284      2200
FIRSTCITY FINL CORP          COM            33761X107         22,300       5,000       X        28-4580                         5000
FISERV INC                   COM            337738108      1,401,116      30,882       X        28-5284     30267                615
                                                           1,545,257      34,059       X      X 28-5284     21298              12761
                                                              15,335         338       X        28-11135      338
                                                              45,370       1,000       X        28-4580      1000
FIRSTFED FINL CORP           COM            337907109            965         120       X        28-5284                          120
FIRSTMERIT CORP              COM            337915102        825,286      50,600       X        28-5284     50600
FLAGSTAR BANCORP INC         COM            337930101          3,010       1,000       X        28-5284      1000
FIRSTENERGY CORP             COM            337932107     33,543,136     407,423       X        28-5284    387233              20190
                                                          12,343,655     149,929       X      X 28-5284    136077      2957    10895
                                                             575,487       6,990       X        28-4580      6990
                                                             284,039       3,450       X      X 28-4580      3450
FIVE STAR QUALITY CARE INC   COM            33832D106          7,095       1,500       X      X 28-5284      1500
FLAHERTY & CRMN/CLYMR PFD SE COM SHS        338478100         27,880       2,000       X      X 28-5284      2000
FLAHERTY & CRUMRINE PFD INC  COM            33848E106         37,717       4,056       X        28-5284      4056
FLAHERTY & CRUMRINE PFD INC  COM            338480106          9,396         900       X      X 28-5284       900
FLEETWOOD ENTERPRISES INC    COM            339099103          1,074         410       X        28-5284                          410
   COLUMN TOTAL                                           51,367,529







                                                                                                                    FILE NO. 28-1235
PAGE  84 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
FLUOR CORP NEW               COM            343412102        298,844       1,606       X        28-5284      1606
                                                           1,024,556       5,506       X      X 28-5284      4681                825
                                                               1,489           8       X        28-11135        8
                                                             186,080       1,000       X        28-4580      1000
                                                              41,868         225       X      X 28-4580       225
FLOWSERVE CORP               COM            34354P105         22,009         161       X        28-5284       161
                                                           1,985,431      14,524       X      X 28-5284     14524
                                                             224,051       1,639       X        28-11135     1639
FOCUS MEDIA HLDG LTD         SPONSORED ADR  34415V109          1,635          59       X        28-5284        59
                                                              85,932       3,100       X      X 28-5284      3100
FOMENTO ECONOMICO MEXICANO S SPON ADR UNITS 344419106         16,702         367       X        28-5284       367
FOOT LOCKER INC              COM            344849104          1,992         160       X        28-5284       160
                                                             311,250      25,000       X      X 28-5284     25000
FORCE PROTECTION INC         COM NEW        345203202          1,655         500       X        28-5284       500
                                                               3,972       1,200       X      X 28-5284       200               1000
FORD MTR CO DEL              COM PAR $0.01  345370860         93,684      19,477       X        28-5284     19477
                                                             357,325      74,288       X      X 28-5284     61548              12740
                                                              33,540       6,973       X        28-4580      6973
                                                               5,291       1,100       X      X 28-4580       100               1000
FORD MTR CO CAP TR II        PFD TR CV6.5%  345395206         36,261       1,310       X        28-5284      1310
                                                              17,438         630       X      X 28-5284       280                350
FORDING CDN COAL TR          TR UNIT        345425102        106,701       1,116       X        28-5284      1116
                                                             449,367       4,700       X      X 28-5284      4700
FOREST CITY ENTERPRISES INC  CL A           345550107      1,707,660      53,000       X      X 28-5284     53000
                                                              41,886       1,300       X        28-4580                         1300
FOREST LABS INC              COM            345838106        421,257      12,126       X        28-5284      6305               5821
                                                             340,278       9,795       X      X 28-5284      9795
                                                              21,157         609       X        28-11135      609
FOREST OIL CORP              COM PAR $0.01  346091705      1,840,150      24,700       X      X 28-5284     24700
FORESTAR REAL ESTATE GROUP I COM            346233109         14,192         745       X        28-5284       745
   COLUMN TOTAL                                            9,693,653







                                                                                                                    FILE NO. 28-1235
PAGE  85 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
FORMFACTOR INC               COM            346375108         62,662       3,400       X      X 28-5284      3400
FORT DEARBORN INCOME SECS IN COM            347200107         20,955       1,500       X      X 28-5284                         1500
FORTRESS INVESTMENT GROUP LL CL A           34958B106          1,220          99       X        28-5284        99
FORTRESS INTL GROUP INC      *W EXP 07/12/2 34958D110         36,633     305,271       X      X 28-5284              305271
FORTUNE BRANDS INC           COM            349631101     15,116,264     242,209       X        28-5284    235769        90     6350
                                                          17,699,601     283,602       X      X 28-5284    244857       450    38295
                                                             202,084       3,238       X        28-11135     3238
                                                              59,290         950       X        28-4580       950
                                                             233,226       3,737       X      X 28-4580      3737
40 / 86 STRATEGIC INCOME FD  SH BEN INT     349739102         46,695       5,500       X      X 28-5284                         5500
FORWARD AIR CORP             COM            349853101          8,131         235       X        28-5284                          235
                                                             682,762      19,733       X        28-11135    19733
FOSSIL INC                   COM            349882100         57,413       1,975       X        28-5284                         1975
FOSTER L B CO                COM            350060109          3,320         100       X        28-5284       100
FOUNDATION COAL HLDGS INC    COM            35039W100         62,006         700       X        28-5284       700
                                                             132,870       1,500       X      X 28-5284      1500
FOUNDRY NETWORKS INC         COM            35063R100         11,820       1,000       X        28-5284      1000
4 KIDS ENTMT INC             COM            350865101            667          90       X        28-5284                           90
FRANCE TELECOM               SPONSORED ADR  35177Q105         42,460       1,433       X        28-5284      1433
                                                                 267           9       X      X 28-5284         9
FRANKLIN CR MGMT CORP        COM NEW        353487200            243         300       X        28-5284       300
FRANKLIN RES INC             COM            354613101     28,748,405     313,676       X        28-5284    295569              18107
                                                          12,102,016     132,046       X      X 28-5284    121252      1913     8881
                                                             181,834       1,984       X        28-11135     1984
                                                             538,994       5,881       X        28-4580      5801                 80
                                                              45,825         500       X      X 28-4580       500
FRANKLIN STREET PPTYS CORP   COM            35471R106         22,752       1,800       X      X 28-5284      1800
   COLUMN TOTAL                                           76,120,415







                                                                                                                    FILE NO. 28-1235
PAGE  86 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
FRANKLIN TEMPLETON LTD DUR I COM            35472T101         53,616       4,800       X      X 28-5284      1000               3800
FREDS INC                    CL A           356108100          2,810         250       X        28-5284                          250
FREEPORT-MCMORAN COPPER & GO PFD CONV       35671D782         15,131          90       X      X 28-5284        90
                                                           4,203,000      25,000       X        28-11439    25000
FREEPORT-MCMORAN COPPER & GO COM            35671D857     10,697,689      91,285       X        28-5284     81003              10282
                                                           4,157,315      35,475       X      X 28-5284     32274       230     2971
                                                             656,733       5,604       X        28-11135     5604
                                                             194,418       1,659       X        28-4580      1659
                                                             647,592       5,526       X      X 28-4580      5526
FRESENIUS MED CARE AG&CO KGA SPONSORED ADR  358029106         52,694         960       X        28-5284       960
                                                              58,183       1,060       X      X 28-5284      1060
FRIEDMAN BILLINGS RAMSEY GRO CL A           358434108            150         100       X        28-5284       100
FRONTIER OIL CORP            COM            35914P105         14,346         600       X        28-5284       600
                                                              28,692       1,200       X      X 28-5284      1200
FUELCELL ENERGY INC          COM            35952H106         70,943       9,992       X      X 28-5284      9992
FUEL TECH INC                COM            359523107          3,524         200       X        28-5284       200
                                                               1,762         100       X      X 28-5284       100
FUJIFILM HLDGS CORP          ADR 2 ORD      35958N107         27,930         815       X        28-5284       815
FULLER H B CO                COM            359694106         60,453       2,694       X        28-11135     2694
FULTON FINL CORP PA          COM            360271100        356,685      35,491       X        28-5284     35491
                                                           1,764,680     175,590       X      X 28-5284    112879              62711
                                                              29,075       2,893       X        28-4580      2893
FURNITURE BRANDS INTL INC    COM            360921100         47,361       3,545       X        28-5284      3100                445
                                                              13,694       1,025       X      X 28-5284      1025
                                                                 815          61       X        28-11135       61
G & K SVCS INC               CL A           361268105         40,177       1,319       X        28-5284      1000                319
                                                              97,472       3,200       X      X 28-5284      3200
   COLUMN TOTAL                                           23,296,940







                                                                                                                    FILE NO. 28-1235
PAGE  87 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
GATX CORP                    COM            361448103         66,717       1,505       X        28-5284       110               1395
                                                              31,652         714       X      X 28-5284       714
                                                               9,531         215       X        28-11135      215
GFI GROUP INC                COM            361652209          3,604         400       X        28-5284       400
GP STRATEGIES CORP           COM            36225V104          6,281         625       X        28-5284       625
GSE SYS INC                  COM            36227K106          8,910       1,000       X      X 28-5284      1000
GSI COMMERCE INC             COM            36238G102          3,039         223       X        28-11135      223
GTC BIOTHERAPEUTICS INC      COM            36238T104          3,068       7,500       X      X 28-5284      7500
GABELLI GLOBAL MULTIMEDIA TR COM            36239Q109        444,843      48,300       X      X 28-5284               48300
GABELLI EQUITY TR INC        COM            362397101         15,485       1,900       X        28-5284      1900
                                                           1,325,703     162,663       X      X 28-5284     11500             151163
GABELLI UTIL TR              COM            36240A101        620,012      66,668       X      X 28-5284                        66668
GSI TECHNOLOGY               COM            36241U106        194,388      50,100       X      X 28-5284               50100
GABELLI DIVD & INCOME TR     COM            36242H104         21,092       1,195       X        28-5284      1195
                                                              26,475       1,500       X      X 28-5284      1500
GABELLI HLTHCARE & WELLNESS  SHS            36246K103            590          95       X        28-5284        95
                                                                 311          50       X      X 28-5284        50
GAFISA S A                   SPONS ADR      362607301        103,110       3,000       X      X 28-5284      3000
GAIAM INC                    CL A           36268Q103            473          35       X        28-5284        35
                                                              27,020       2,000       X      X 28-5284      2000
GALLAGHER ARTHUR J & CO      COM            363576109        125,320       5,200       X        28-5284                         5200
                                                              19,280         800       X      X 28-5284       800
                                                               3,037         126       X        28-4580       126
GAMESTOP CORP NEW            CL A           36467W109      4,395,156     108,791       X        28-5284    106555               2236
                                                           2,095,750      51,875       X      X 28-5284     50655               1220
                                                             747,642      18,506       X        28-11135    18506
                                                              14,948         370       X        28-4580       370
   COLUMN TOTAL                                           10,313,437







                                                                                                                    FILE NO. 28-1235
PAGE  88 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
GANNETT INC                  COM            364730101      3,637,743     167,870       X        28-5284    155265              12605
                                                           3,321,339     153,269       X      X 28-5284    137950      1860    13459
                                                               8,170         377       X        28-11135      377
                                                               3,251         150       X        28-4580       150
GAP INC DEL                  COM            364760108        357,421      21,441       X        28-5284     11696               9745
                                                             252,551      15,150       X      X 28-5284      4320      8000     2830
                                                             876,209      52,562       X        28-11135    52562
GARDNER DENVER INC           COM            365558105         32,376         570       X        28-5284       150                420
                                                               5,680         100       X      X 28-5284       100
                                                               7,270         128       X        28-11135      128
GARTNER INC                  COM            366651107         36,364       1,755       X        28-5284      1755
                                                               3,771         182       X      X 28-5284       182
GAYLORD ENTMT CO NEW         COM            367905106          1,773          74       X        28-5284                           74
GEN-PROBE INC NEW            COM            36866T103          3,278          69       X        28-5284        69
                                                              28,506         600       X      X 28-5284       600
                                                               8,789         185       X        28-11135      185
GENAERA CORP                 COM NEW        36867G209         99,521      54,682       X      X 28-5284               54682
GENCOR INDS INC              COM            368678108      6,073,105     581,715       X      X 28-5284              581715
GENCORP INC                  COM            368682100          2,506         350       X        28-5284                          350
GENENTECH INC                COM NEW        368710406      2,368,460      31,205       X        28-5284     29169               2036
                                                           1,402,101      18,473       X      X 28-5284     15948               2525
                                                             744,048       9,803       X        28-11135     9803
                                                              79,695       1,050       X        28-4580      1050
                                                              22,770         300       X      X 28-4580       300
GENERAL AMERN INVS INC       COM            368802104         36,923       1,141       X        28-5284                         1141
                                                              69,186       2,138       X      X 28-5284      2017       121
GENERAL CABLE CORP DEL NEW   COM            369300108         41,074         675       X        28-5284       575                100
                                                              30,425         500       X      X 28-5284                          500
                                                               1,095          18       X        28-11135       18
   COLUMN TOTAL                                           19,555,400







                                                                                                                    FILE NO. 28-1235
PAGE  89 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
GENERAL COMMUNICATION INC    CL A           369385109          1,924         280       X        28-5284                          280
GENERAL DYNAMICS CORP        COM            369550108     42,853,085     508,944       X        28-5284    480274              28670
                                                          24,727,098     293,671       X      X 28-5284    275558      2311    15802
                                                              90,262       1,072       X        28-11135     1072
                                                             683,957       8,123       X        28-4580      7816                307
                                                             357,345       4,244       X      X 28-4580      4137                107
GENERAL ELECTRIC CO          COM            369604103    333,775,478  12,505,638       X        28-5284  12007278      2708   495652
                                                         411,752,368  15,427,215       X      X 28-5284  14190944     39564  1196707
                                                             834,863      31,280       X        28-11135    31280
                                                          10,621,392     397,954       X        28-4580    395682               2272
                                                          10,926,779     409,396       X      X 28-4580    405544      3000      852
GENERAL EMPLOYMENT ENTERPRIS COM            369730106          1,660       2,000       X      X 28-5284                2000
GENERAL GROWTH PPTYS INC     COM            370021107      1,637,197      46,737       X        28-5284     43237               3500
                                                              56,153       1,603       X      X 28-5284      1403                200
GENERAL MLS INC              COM            370334104     23,084,031     379,859       X        28-5284    350916              28943
                                                          29,491,134     485,291       X      X 28-5284    437102      1380    46809
                                                             292,547       4,814       X        28-11135     4814
                                                             572,332       9,418       X        28-4580      9018                400
                                                             238,097       3,918       X      X 28-4580      3918
GENERAL MTRS CORP            COM            370442105        408,538      35,525       X        28-5284     14025              21500
                                                             434,056      37,744       X      X 28-5284     25189              12555
                                                               3,358         292       X        28-4580       292
                                                              16,135       1,403       X      X 28-4580      1403
GENERAL MTRS CORP            DEB SR CV C 33 370442717         14,608       1,100       X      X 28-5284      1100
GENESCO INC                  COM            371532102          5,557         180       X        28-5284                          180
                                                               7,718         250       X      X 28-5284       250
GENESEE & WYO INC            CL A           371559105          6,804         200       X        28-5284       200
                                                             255,150       7,500       X      X 28-5284                         7500
                                                               2,347          69       X        28-11135       69
GENESIS LEASE LTD            ADR            37183T107         15,495       1,500       X      X 28-5284                         1500
GENTEX CORP                  COM            371901109         25,992       1,800       X        28-5284      1800
                                                              40,432       2,800       X      X 28-5284      2800
   COLUMN TOTAL                                          893,233,892







                                                                                                                    FILE NO. 28-1235
PAGE  90 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
GENESIS ENERGY L P           UNIT LTD PARTN 371927104          9,225         500       X        28-5284       500
GENOMIC HEALTH INC           COM            37244C101        248,950      13,000       X        28-5284     13000
GENTEK INC                   COM NEW        37245X203             81           3       X        28-5284         3
GENUINE PARTS CO             COM            372460105      1,016,483      25,617       X        28-5284     23717               1900
                                                           2,617,888      65,975       X      X 28-5284     57638               8337
                                                               3,651          92       X        28-11135       92
                                                             261,888       6,600       X        28-4580      6600
GENWORTH FINL INC            COM CL A       37247D106        197,281      11,077       X        28-5284      4677               6400
                                                             191,903      10,775       X      X 28-5284      4450               6325
                                                               8,282         465       X        28-11135      465
GEOKINETICS INC              COM PAR $0.01  372910307         36,220       2,000       X      X 28-5284      2000
GENZYME CORP                 COM            372917104     19,907,885     276,960       X        28-5284    236745              40215
                                                           9,951,570     138,447       X      X 28-5284    114895       150    23402
                                                               4,672          65       X        28-11135       65
                                                              86,975       1,210       X        28-4580      1210
                                                               7,188         100       X      X 28-4580       100
GEORGIA GULF CORP            COM PAR $0.01  373200203            667         230       X        28-5284                          230
                                                                 580         200       X      X 28-5284                          200
GERDAU AMERISTEEL CORP       COM            37373P105          4,825         250       X        28-5284       250
GERBER SCIENTIFIC INC        COM            373730100          1,593         140       X        28-5284                          140
GERDAU S A                   SPONSORED ADR  373737105        312,130      13,000       X      X 28-5284      8000               5000
GERON CORP                   COM            374163103         20,700       6,000       X        28-5284      6000
                                                               7,590       2,200       X      X 28-5284       200      2000
GETTY RLTY CORP NEW          COM            374297109        210,242      14,590       X      X 28-5284     14590
GEVITY HR INC                COM            374393106            791         147       X        28-5284       147
   COLUMN TOTAL                                           35,109,260







                                                                                                                    FILE NO. 28-1235
PAGE  91 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
GILEAD SCIENCES INC          COM            375558103     51,677,876     975,975       X        28-5284    934698              41277
                                                          31,110,825     587,551       X      X 28-5284    566376      5659    15516
                                                           1,087,646      20,541       X        28-11135    20541
                                                           1,073,508      20,274       X        28-4580     19632                642
                                                             311,346       5,880       X      X 28-4580      5880
GILDAN ACTIVEWEAR INC        COM            375916103      1,564,110      60,437       X        28-5284     52167               8270
                                                              52,536       2,030       X      X 28-5284      2030
GLACIER BANCORP INC NEW      COM            37637Q105         38,376       2,400       X      X 28-5284      2400
                                                              26,959       1,686       X      X 28-4580      1686
GLADSTONE COML CORP          COM            376536108          9,532         550       X        28-5284       550
                                                             176,246      10,170       X      X 28-5284     10170
GLADSTONE INVT CORP          COM            376546107          1,929         300       X        28-5284       300
GLATFELTER                   COM            377316104      2,090,092     154,707       X        28-5284    154507                200
                                                          22,010,830   1,629,225       X      X 28-5284   1629225
GLAXOSMITHKLINE PLC          SPONSORED ADR  37733W105     10,725,251     242,543       X        28-5284    208301              34242
                                                          30,611,162     692,247       X      X 28-5284    649415              42832
                                                             458,827      10,376       X        28-11135    10376
                                                              77,252       1,747       X        28-4580      1747
                                                             289,155       6,539       X      X 28-4580      6539
GLEN BURNIE BANCORP          COM            377407101         44,439       4,018       X      X 28-5284      4018
GLOBALSTAR INC               COM            378973408          2,830       1,000       X      X 28-5284      1000
GLIMCHER RLTY TR             SH BEN INT     379302102         27,078       2,422       X        28-5284      2422
                                                             189,277      16,930       X      X 28-5284     16930
GLOBAL HIGH INCOME FUND INC  COM            37933G108         14,511       1,050       X        28-5284      1050
GLOBAL INDS LTD              COM            379336100        454,633      25,356       X        28-11135    25356
GLOBAL PMTS INC              COM            37940X102        580,077      12,448       X        28-5284     12448
                                                               5,266         113       X        28-11135      113
GMX RES INC                  COM            38011M108          3,705          50       X      X 28-5284        50
GOL LINHAS AEREAS INTLG S A  SP ADR REP PFD 38045R107         13,536       1,200       X      X 28-5284      1200
   COLUMN TOTAL                                          154,728,810







                                                                                                                    FILE NO. 28-1235
PAGE  92 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
GOLD FIELDS LTD NEW          SPONSORED ADR  38059T106         16,445       1,300       X        28-5284                         1300
GOLD RESV INC                NOTE  5.500% 6 38068NAB4        222,000       4,000       X        28-4580      4000
GOLDCORP INC NEW             COM            380956409         85,876       1,860       X        28-5284      1860
                                                             192,021       4,159       X      X 28-5284      3159               1000
                                                             138,510       3,000       X        28-4580      3000
GOLDEN STAR RES LTD CDA      COM            38119T104         42,502      15,800       X        28-5284     15800
GOLDMAN SACHS GROUP INC      COM            38141G104     68,840,815     393,601       X        28-5284    379085              14516
                                                          33,662,653     192,468       X      X 28-5284    181041      2869     8558
                                                             551,635       3,154       X        28-11135     3154
                                                           1,421,937       8,130       X        28-4580      7967                163
                                                             421,684       2,411       X      X 28-4580      2411
GOLF TR AMER INC             COM            38168B103         14,000       8,000       X      X 28-5284                8000
GOODRICH CORP                COM            382388106     16,878,342     355,633       X        28-5284    339960              15673
                                                           8,085,570     170,366       X      X 28-5284    156915      1190    12261
                                                               1,424          30       X        28-11135       30
                                                             547,736      11,541       X        28-4580     11147                394
                                                             126,671       2,669       X      X 28-4580      2669
GOODYEAR TIRE & RUBR CO      COM            382550101         26,816       1,504       X        28-5284      1504
                                                              10,698         600       X      X 28-5284       600
GOOGLE INC                   CL A           38259P508      5,769,563      10,960       X        28-5284      9267               1693
                                                           2,767,390       5,257       X      X 28-5284      5247                 10
                                                             994,407       1,889       X        28-11135     1889
GORMAN RUPP CO               COM            383082104        128,524       3,226       X        28-5284      3226
GRACE W R & CO DEL NEW       COM            38388F108         42,047       1,790       X        28-5284       700               1090
                                                              39,299       1,673       X      X 28-5284       820                853
GRACO INC                    COM            384109104        356,145       9,355       X        28-5284      9105                250
                                                           1,621,401      42,590       X      X 28-5284     17050              25540
GRAINGER W W INC             COM            384802104      2,260,379      27,633       X        28-5284     24083               3550
                                                           2,685,903      32,835       X      X 28-5284     19833       800    12202
                                                              11,616         142       X        28-11135      142
   COLUMN TOTAL                                          147,964,009







                                                                                                                    FILE NO. 28-1235
PAGE  93 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
GRAMERCY CAP CORP            COM            384871109        394,466      34,035       X        28-5284     34035
                                                             391,232      33,756       X      X 28-5284     33756
GREAT ATLANTIC & PAC TEA INC COM            390064103          3,879         170       X        28-5284                          170
                                                                 776          34       X      X 28-5284        12        22
GREAT NORTHN IRON ORE PPTYS  CTFS BEN INT   391064102         10,495          95       X        28-5284        95
GREAT PLAINS ENERGY INC      COM            391164100        544,203      21,527       X        28-5284     13427               8100
                                                             170,640       6,750       X      X 28-5284      6450                300
                                                               3,944         156       X        28-4580       156
GREAT WOLF RESORTS INC       COM            391523107            437         100       X      X 28-5284       100
GREATER CHINA FD INC         COM            39167B102         14,234       1,100       X        28-5284      1100
                                                              15,334       1,185       X      X 28-5284      1185
GREEN MTN COFFEE ROASTERS IN COM            393122106        619,905      16,500       X      X 28-5284     16500
GREIF INC                    CL A           397624107         78,565       1,227       X        28-11135     1227
GRIFFON CORP                 COM            398433102          1,489         170       X        28-5284                          170
                                                              24,090       2,750       X      X 28-5284      2750
GROUP 1 AUTOMOTIVE INC       COM            398905109          3,577         180       X        28-5284                          180
GROUPE CGI INC               CL A SUB VTG   39945C109            429          43       X        28-11135       43
GRUBB & ELLIS CO             COM PAR $0.01  400095204          5,844       1,518       X        28-5284      1518
GRUPO TELEVISA SA DE CV      SP ADR REP ORD 40049J206          4,724         200       X      X 28-5284                          200
GRUPO TMM S A B              SP ADR A SHS   40051D105         57,000      30,000       X      X 28-5284     30000
GUANGSHEN RY LTD             SPONSORED ADR  40065W107         12,594         562       X        28-5284       562
GUARANTY BANCORP DEL         COM            40075T102            619         172       X        28-5284       172
GUARANTY FINL GROUP INC      COM            40108N106          4,001         745       X        28-5284       745
GUESS INC                    COM            401617105          2,734          73       X        28-11135       73
GULF ISLAND FABRICATION INC  COM            402307102        534,523      10,922       X        28-11135    10922
   COLUMN TOTAL                                            2,899,734







                                                                                                                    FILE NO. 28-1235
PAGE  94 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
GULFMARK OFFSHORE INC        COM            402629109         29,090         500       X      X 28-5284       500
GULFPORT ENERGY CORP         COM NEW        402635304        359,227      21,811       X        28-11135    21811
GUSHAN ENVIRONMENTAL ENRGY L SPON ADR       40330W106         11,620       1,000       X      X 28-5284      1000
GYMBOREE CORP                COM            403777105          9,216         230       X        28-5284                          230
                                                              67,237       1,678       X        28-11135     1678
H & Q LIFE SCIENCES INVS     SH BEN INT     404053100         78,296       6,850       X        28-5284      6850
                                                              11,339         992       X      X 28-5284       992
HCC INS HLDGS INC            COM            404132102      1,043,788      49,375       X        28-5284     46265               3110
                                                             611,897      28,945       X      X 28-5284     28900                 45
                                                              13,931         659       X        28-11135      659
HCP INC                      COM            40414L109        955,922      30,051       X        28-5284     29651                400
                                                           2,479,462      77,946       X      X 28-5284     70746               7200
                                                              24,494         770       X        28-11135      770
HDFC BANK LTD                ADR REPS 3 SHS 40415F101          7,094          99       X        28-5284        99
                                                               1,290          18       X      X 28-5284        18
HLTH CORPORATION             COM            40422Y101          7,924         700       X        28-5284       700
HNI CORP                     COM            404251100         83,002       4,700       X        28-5284      4700
                                                              84,768       4,800       X      X 28-5284      4800
HRPT PPTYS TR                COM SH BEN INT 40426W101         67,768      10,010       X        28-5284      8110               1900
                                                             370,928      54,790       X      X 28-5284     53290               1500
                                                              67,700      10,000       X      X 28-4580     10000
HSBC HLDGS PLC               SPON ADR NEW   404280406      3,237,354      42,208       X        28-5284     41770                438
                                                           1,333,583      17,387       X      X 28-5284     16585                802
                                                             465,569       6,070       X        28-11135     6070
                                                             321,987       4,198       X      X 28-4580      4198
HSBC HLDGS PLC               ADR A 1/40PF A 404280604         41,160       2,000       X        28-5284      2000
                                                              28,812       1,400       X      X 28-5284      1400
HAEMONETICS CORP             COM            405024100         11,647         210       X        28-5284                          210
                                                              11,092         200       X      X 28-5284       200
                                                               2,773          50       X        28-11135       50
   COLUMN TOTAL                                           11,839,970







                                                                                                                    FILE NO. 28-1235
PAGE  95 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
HAIN CELESTIAL GROUP INC     COM            405217100         11,975         510       X        28-5284       200                310
                                                              14,088         600       X      X 28-5284       600
                                                               1,526          65       X        28-11135       65
HALLIBURTON CO               COM            406216101     15,830,781     298,300       X        28-5284    226208              72092
                                                          15,210,021     286,603       X      X 28-5284    259056      1600    25947
                                                             205,593       3,874       X        28-11135     3874
                                                             118,346       2,230       X        28-4580      2230
                                                             164,517       3,100       X      X 28-4580      3100
HAMPTON ROADS BANKSHARES INC COM            409321106         48,561       3,888       X        28-5284      3888
                                                           1,917,215     153,500       X      X 28-5284    140000              13500
JOHN HANCOCK BK &THRIFT OPP  SH BEN INT     409735107         25,810       5,660       X        28-5284      5660
                                                              75,477      16,552       X        28-11135    16552
HANCOCK JOHN INCOME SECS TR  COM            410123103          3,816         300       X        28-5284       300
                                                             131,016      10,300       X      X 28-5284                        10300
HANCOCK JOHN PATRIOT PREM II COM SH BEN INT 41013T105         10,111       1,121       X        28-5284      1121
HANCOCK JOHN TAX-ADV DIV INC COM            41013V100         21,960       1,500       X      X 28-5284      1500
HANCOCK JOHN PFD INCOME FD I COM            41013X106          9,360         500       X        28-5284       500
                                                              37,440       2,000       X      X 28-5284      2000
HANCOCK JOHN INVS TR         COM            410142103        267,216      15,200       X      X 28-5284                        15200
HANCOCK JOHN PFD INCOME FD I COM            41021P103          8,335         500       X        28-5284       500
HANESBRANDS INC              COM            410345102        490,800      18,084       X        28-5284     13899               4185
                                                             488,004      17,981       X      X 28-5284     17413                568
HANOVER CAP MTG HLDGS INC    COM            410761100            442       2,104       X      X 28-5284      2104
HANOVER INS GROUP INC        COM            410867105        255,000       6,000       X        28-5284      6000
                                                              46,368       1,091       X      X 28-5284                         1091
HANSEN MEDICAL INC           COM            411307101         26,752       1,600       X      X 28-5284      1600
HANSEN NAT CORP              COM            411310105        792,550      27,500       X        28-5284     23510               3990
                                                             120,756       4,190       X      X 28-5284      1940               2250
                                                                 576          20       X        28-11135       20
   COLUMN TOTAL                                           36,334,412







                                                                                                                    FILE NO. 28-1235
PAGE  96 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
HARLEY DAVIDSON INC          COM            412822108      1,933,238      53,316       X        28-5284     47066               6250
                                                             873,902      24,101       X      X 28-5284     21191      1710     1200
                                                               5,439         150       X        28-4580       150
HARLEYSVILLE GROUP INC       COM            412824104         55,143       1,630       X        28-5284      1630
                                                              25,373         750       X      X 28-5284       750
HARLEYSVILLE NATL CORP PA    COM            412850109        145,080      13,000       X        28-5284     13000
                                                             756,793      67,813       X      X 28-5284     67813
HARMAN INTL INDS INC         COM            413086109         55,338       1,337       X        28-5284      1337
HARMONIC INC                 COM            413160102          6,086         640       X        28-5284                          640
                                                             188,060      19,775       X        28-11135    19775
HARMONY GOLD MNG LTD         SPONSORED ADR  413216300         23,888       1,950       X        28-5284                         1950
HARRIS & HARRIS GROUP INC    COM            413833104          1,500         250       X        28-5284       250
                                                                 600         100       X      X 28-5284       100
HARRIS CORP DEL              COM            413875105        965,571      19,124       X        28-5284     17815               1309
                                                           2,912,415      57,683       X      X 28-5284     51308       275     6100
                                                             904,882      17,922       X        28-11135    17922
HARSCO CORP                  COM            415864107        145,873       2,681       X        28-5284      2681
                                                           1,596,879      29,349       X      X 28-5284     28349               1000
                                                               4,625          85       X        28-11135       85
HARRY WINSTON DIAMOND CORP   COM            41587B100         20,153         700       X        28-5284       700
HARTE-HANKS INC              COM            416196103          7,443         650       X        28-5284       650
                                                             335,164      29,272       X        28-11135    29272
HARTFORD FINL SVCS GROUP INC COM            416515104      1,677,981      25,987       X        28-5284     18666               7321
                                                           1,879,633      29,110       X      X 28-5284     26847               2263
                                                           1,033,249      16,002       X        28-11135    16002
                                                               3,293          51       X        28-4580        51
HARTFORD INCOME SHS FD INC   COM            416537108         19,499       3,100       X      X 28-5284                         3100
HARVEST ENERGY TR            TRUST UNIT     41752X101         96,240       4,000       X        28-5284      4000
                                                              50,526       2,100       X      X 28-5284      2000                100
   COLUMN TOTAL                                           15,723,866







                                                                                                                    FILE NO. 28-1235
PAGE  97 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
HASBRO INC                   COM            418056107         87,228       2,442       X        28-5284      2442
                                                             183,958       5,150       X      X 28-5284       150               5000
HAUPPAUGE DIGITAL INC        COM            419131107         97,500      65,000       X      X 28-5284               65000
HAVERTY FURNITURE INC        COM            419596101          1,988         198       X        28-5284       198
HAWAIIAN ELEC INDUSTRIES     COM            419870100          4,946         200       X        28-5284       200
                                                             173,357       7,010       X      X 28-5284      7010
HEALTHSOUTH CORP             COM NEW        421924309         18,526       1,114       X        28-5284      1114
HEALTH MGMT ASSOC INC NEW    CL A           421933102      1,161,345     178,394       X        28-5284    166354              12040
                                                             104,355      16,030       X      X 28-5284     15280                750
HEALTHCARE RLTY TR           COM            421946104         21,132         889       X        28-5284       889
                                                             368,126      15,487       X      X 28-5284     15487
                                                                 357          15       X        28-11135       15
HEADWATERS INC               COM            42210P102            824          70       X        28-5284        70
                                                               3,531         300       X      X 28-5284       300
HEALTH CARE REIT INC         NOTE  4.750% 7 42217KAQ9      4,197,496       4,000       X        28-11439     4000
HEALTH CARE REIT INC         COM            42217K106        111,918       2,515       X        28-5284      1515               1000
                                                             659,579      14,822       X      X 28-5284     14822
                                                               5,696         128       X        28-11135      128
HEALTHEXTRAS INC             COM            422211102          9,796         325       X        28-5284       325
                                                              18,084         600       X      X 28-5284       600
HEALTH NET INC               COM            42222G108         14,075         585       X        28-5284       585
                                                                  24           1       X      X 28-5284         1
                                                             150,183       6,242       X        28-11135     6242
HEALTHWAYS INC               COM            422245100          5,920         200       X        28-5284       200
                                                             261,220       8,825       X      X 28-5284                         8825
HEARTLAND EXPRESS INC        COM            422347104          5,561         373       X        28-5284                          373
HEARTLAND PMT SYS INC        COM            42235N108         16,732         709       X        28-5284       709
                                                             311,449      13,197       X      X 28-5284      9247               3950
                                                             298,422      12,645       X        28-11135    12645
   COLUMN TOTAL                                            7,873,328







                                                                                                                    FILE NO. 28-1235
PAGE  98 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
HECLA MNG CO                 COM            422704106        102,092      11,025       X      X 28-5284     11025
HEICO CORP NEW               COM            422806109          6,508         200       X      X 28-5284       200
                                                               8,786         270       X        28-11135      270
HEIDRICK & STRUGGLES INTL IN COM            422819102          3,870         140       X        28-5284                          140
                                                              67,718       2,450       X      X 28-5284      2450
HEINZ H J CO                 COM            423074103     22,754,302     475,534       X        28-5284    458221              17313
                                                          26,257,161     548,739       X      X 28-5284    512637       967    35135
                                                           1,023,942      21,399       X        28-11135    21399
                                                           4,056,675      84,779       X        28-4580     84779
                                                           1,022,650      21,372       X      X 28-4580     21372
HELLENIC TELECOM ORGANIZATN  SPONSORED ADR  423325307          4,712         396       X        28-5284       396
HELMERICH & PAYNE INC        COM            423452101        172,848       2,400       X        28-5284      2400
                                                              79,222       1,100       X      X 28-5284      1100
                                                              22,038         306       X        28-11135      306
HENRY JACK & ASSOC INC       COM            426281101        103,223       4,770       X        28-5284      4770
                                                              12,984         600       X      X 28-5284                          600
HERCULES INC                 COM            427056106         39,955       2,360       X        28-5284      1100               1260
                                                              30,474       1,800       X      X 28-5284      1800
                                                              33,860       2,000       X        28-4580      2000
                                                              40,006       2,363       X      X 28-4580      2363
HERCULES OFFSHORE INC        COM            427093109         17,489         460       X        28-5284       460
HERSHA HOSPITALITY TR        SH BEN INT A   427825104        132,314      17,525       X        28-5284     17525
                                                               7,928       1,050       X      X 28-5284      1050
                                                                 883         117       X        28-11135      117
HERSHEY CO                   COM            427866108      5,151,082     157,141       X        28-5284    143641              13500
                                                           8,751,539     266,978       X      X 28-5284    264288               2690
                                                              55,726       1,700       X        28-4580      1700
                                                              18,029         550       X      X 28-4580       550
HERZFELD CARIBBEAN BASIN FD  COM            42804T106          3,499         455       X        28-5284       455
   COLUMN TOTAL                                           69,981,515







                                                                                                                    FILE NO. 28-1235
PAGE  99 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
HESS CORP                    COM            42809H107        325,444       2,579       X        28-5284      2579
                                                             854,937       6,775       X      X 28-5284      6675                100
                                                              23,976         190       X      X 28-4580       190
HEWITT ASSOCS INC            COM            42822Q100      1,589,928      41,480       X      X 28-5284     41480
HEWLETT PACKARD CO           COM            428236103     98,759,172   2,233,865       X        28-5284   2127000             106865
                                                          84,424,344   1,909,621       X      X 28-5284   1792337     16928   100356
                                                             785,921      17,777       X        28-11135    17777
                                                           2,135,608      48,306       X        28-4580     47558                748
                                                           3,084,487      69,769       X      X 28-4580     69769
HEXCEL CORP NEW              COM            428291108         44,390       2,300       X        28-5284      2300
                                                              57,900       3,000       X      X 28-5284                         3000
                                                               1,467          76       X        28-11135       76
HIGH YIELD PLUS FD INC       COM            429906100          2,930       1,000       X        28-5284      1000
HIGHWOODS PPTYS INC          COM            431284108        238,792       7,600       X        28-5284      7600
                                                                 283           9       X      X 28-5284         9
HILB ROGAL & HOBBS CO        COM            431294107      2,295,036      52,808       X        28-5284     52508                300
                                                           1,024,265      23,568       X      X 28-5284     20943               2625
                                                               6,736         155       X        28-11135      155
HILL ROM HLDGS INC           COM            431475102      3,994,335     148,048       X        28-5284     14368             133680
                                                           7,210,108     267,239       X      X 28-5284    195586     20489    51164
HILLENBRAND INC              COM            431571108      3,168,227     148,048       X        28-5284     14368             133680
                                                           5,718,915     267,239       X      X 28-5284    195586     20489    51164
HIMAX TECHNOLOGIES INC       SPONSORED ADR  43289P106          5,120       1,000       X        28-5284      1000
HIRSCH INTL CORP             CL A           433550100        247,246     183,145       X      X 28-5284              183145
HITACHI LIMITED              ADR 10 COM     433578507         29,317         409       X        28-5284       409
HOLLIS-EDEN PHARMACEUTICALS  COM            435902101         20,655      13,500       X        28-5284     13500
                                                               4,590       3,000       X      X 28-5284      3000
   COLUMN TOTAL                                          216,054,129







                                                                                                                    FILE NO. 28-1235
PAGE 100 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
HOLOGIC INC                  COM            436440101        121,470       5,572       X        28-5284      5572
                                                              30,520       1,400       X      X 28-5284      1400
                                                             131,171       6,017       X        28-11135     6017
HOME DEPOT INC               COM            437076102     23,520,753   1,004,302       X        28-5284    902756             101546
                                                          15,430,899     658,877       X      X 28-5284    558214     12343    88320
                                                              29,790       1,272       X        28-11135     1272
                                                             543,203      23,194       X        28-4580     23194
                                                             363,596      15,525       X      X 28-4580     15525
HOME DIAGNOSTICS INC DEL     COM            437080104        315,351      34,807       X        28-11135    34807
HOME PROPERTIES INC          COM            437306103        654,818      13,625       X        28-5284       625              13000
HONDA MOTOR LTD              AMERN SHS      438128308        307,461       9,035       X        28-5284      8255                780
                                                             626,424      18,408       X      X 28-5284     17833                575
HONEYWELL INTL INC           COM            438516106     22,459,825     446,695       X        28-5284    404440              42255
                                                          10,031,664     199,516       X      X 28-5284    158013      2827    38676
                                                             218,517       4,346       X        28-11135     4346
                                                             112,677       2,241       X        28-4580      2241
                                                             355,278       7,066       X      X 28-4580      7066
HORMEL FOODS CORP            COM            440452100        178,242       5,150       X        28-5284      5150
                                                             901,591      26,050       X      X 28-5284      8295              17755
                                                              51,915       1,500       X        28-4580      1500
HORNBECK OFFSHORE SVCS INC N COM            440543106         44,643         790       X        28-5284                          790
                                                           1,299,730      23,000       X      X 28-5284     23000
HOSPITALITY PPTYS TR         COM SH BEN INT 44106M102         84,999       3,475       X        28-5284      3275                200
                                                             650,758      26,605       X      X 28-5284     23505               3100
                                                              89,157       3,645       X        28-11135     3645
HOSPIRA INC                  COM            441060100        797,226      19,876       X        28-5284     17992               1884
                                                           2,480,523      61,843       X      X 28-5284     54651       600     6592
                                                               2,006          50       X        28-11135       50
                                                             256,784       6,402       X      X 28-4580      6402
HOST HOTELS & RESORTS INC    COM            44107P104        712,257      52,180       X        28-5284     52166                 14
                                                             105,760       7,748       X      X 28-5284      7748
                                                             285,244      20,897       X        28-11135    20897
   COLUMN TOTAL                                           83,194,252







                                                                                                                    FILE NO. 28-1235
PAGE 101 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
HOT TOPIC INC                COM            441339108          1,515         280       X        28-5284                          280
HOUSTON WIRE & CABLE CO      COM            44244K109         31,840       1,600       X        28-5284      1600
                                                             280,590      14,100       X      X 28-5284     14100
HOVNANIAN ENTERPRISES INC    CL A           442487203          3,348         611       X        28-5284       611
HUANENG PWR INTL INC         SPON ADR H SHS 443304100         42,305       1,530       X        28-5284       530               1000
                                                              23,503         850       X      X 28-5284       850
HUBBELL INC                  CL A           443510102         45,579         984       X        28-5284       984
                                                             715,783      15,453       X      X 28-5284      9503               5950
HUBBELL INC                  CL B           443510201        269,760       6,766       X        28-5284      1566               5200
                                                             763,829      19,158       X      X 28-5284     15264               3894
                                                               2,233          56       X        28-11135       56
HUDSON CITY BANCORP          COM            443683107      1,737,639     104,175       X        28-5284     91209              12966
                                                             195,239      11,705       X      X 28-5284     11165                540
HUGOTON RTY TR TEX           UNIT BEN INT   444717102        204,018       5,514       X        28-5284      5514
                                                                 185           5       X      X 28-5284         5
HUMANA INC                   COM            444859102        484,757      12,189       X        28-5284     12189
                                                             582,988      14,659       X      X 28-5284     14659
                                                              96,641       2,430       X        28-11135     2430
HUMAN GENOME SCIENCES INC    COM            444903108         18,235       3,500       X        28-5284      3500
                                                               1,042         200       X      X 28-5284       200
HUNT J B TRANS SVCS INC      COM            445658107          9,452         284       X        28-5284       141                143
                                                                 200           6       X      X 28-5284         6
                                                               1,098          33       X        28-11135       33
HUNTINGTON BANCSHARES INC    COM            446150104        567,347      98,327       X        28-5284     70327              28000
                                                             363,556      63,008       X      X 28-5284     62758                250
                                                               4,893         848       X        28-11135      848
                                                              61,889      10,726       X      X 28-4580     10726
HUNTINGTON BANCSHARES INC    PFD CONV SER A 446150401        210,000         300       X      X 28-5284                 300
HUNTSMAN CORP                COM            447011107         12,460       1,093       X        28-5284      1093
                                                              28,500       2,500       X      X 28-5284      2500
   COLUMN TOTAL                                            6,760,424







                                                                                                                    FILE NO. 28-1235
PAGE 102 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
HURCO COMPANIES INC          COM            447324104         44,791       1,450       X        28-11135     1450
HURON CONSULTING GROUP INC   COM            447462102            680          15       X        28-11135       15
HUTCHINSON TECHNOLOGY INC    COM            448407106          2,688         200       X        28-5284                          200
HYDROGENICS CORP             COM            448882100          1,417         787       X      X 28-5284       787
HYPERDYNAMICS CORP           COM            448954107          1,690       1,000       X        28-5284      1000
HYPERION BRKFLD TOTAL RET FD COM            449145101        194,268      29,750       X      X 28-5284       250              29500
HYPERION BRKFLD STRGC MTG IN COM            44915C105        192,100      22,600       X      X 28-5284                        22600
HYTHIAM INC                  COM            44919F104          1,210         500       X        28-5284                          500
IAC INTERACTIVECORP          COM NEW        44919P300          9,062         470       X        28-5284       470
                                                              13,496         700       X      X 28-5284       700
                                                                 482          25       X        28-11135       25
ICO GLOBAL COMM HLDGS LTD DE CL A           44930K108          5,656       1,735       X        28-5284      1735
ICAD INC                     COM            44934S107            590         200       X      X 28-5284       200
ICX TECHNOLOGIES INC         COM            44934T105      1,206,004     165,206       X      X 28-5284    165206
ING PRIME RATE TR            SH BEN INT     44977W106          4,813         840       X        28-5284       840
                                                              17,190       3,000       X      X 28-5284      3000
ING CLARION REAL EST INCOME  COM SHS        449788108         27,326       2,600       X        28-5284      2600
ING CLARION GLB RE EST INCM  COM            44982G104        134,571      10,141       X        28-5284      7707               2434
                                                              13,270       1,000       X      X 28-5284      1000
IMS HEALTH INC               COM            449934108        601,979      25,836       X        28-5284     23436               2400
                                                             494,612      21,228       X      X 28-5284     21228
                                                              18,640         800       X      X 28-4580       800
ISTAR FINL INC               COM            45031U101         37,781       2,860       X        28-5284      2310                550
                                                             487,198      36,881       X      X 28-5284     36881
   COLUMN TOTAL                                            3,511,514







                                                                                                                    FILE NO. 28-1235
PAGE 103 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
ITT EDUCATIONAL SERVICES INC COM            45068B109         63,542         769       X        28-5284       769
                                                             103,288       1,250       X      X 28-5284      1250
                                                           1,173,346      14,200       X      X 28-4580     14200
IVAX DIAGNOSTICS INC         COM            45070W109         94,250     145,000       X      X 28-5284              145000
IBASIS INC                   COM NEW        450732201         83,496      25,456       X      X 28-5284               25456
ITT CORP NEW                 COM            450911102     35,416,289     559,234       X        28-5284    535110              24124
                                                          16,638,501     262,727       X      X 28-5284    247180      3366    12181
                                                             275,675       4,353       X        28-4580      4353
                                                             365,287       5,768       X      X 28-4580      5768
ICON PUB LTD CO              SPONSORED ADR  45103T107         20,390         270       X        28-5284       270
                                                              18,125         240       X      X 28-5284       240
ICICI BK LTD                 ADR            45104G104         90,306       3,140       X        28-5284      1740               1400
                                                              23,008         800       X      X 28-5284       800
ICAHN ENTERPRISES LP         DEPOSITRY UNIT 451100101        160,305       2,279       X        28-5284      2279
                                                              80,469       1,144       X      X 28-5284                1144
IDACORP INC                  COM            451107106         13,001         450       X        28-5284       450
                                                              27,937         967       X      X 28-5284       667                300
IDEARC INC                   COM            451663108         43,242      18,401       X        28-5284     17866                535
                                                              72,194      30,721       X      X 28-5284     29011       138     1572
                                                                  89          38       X        28-11135       38
                                                                 357         152       X        28-4580       152
                                                               1,140         485       X      X 28-4580       485
IDEX CORP                    COM            45167R104         58,944       1,600       X        28-5284      1600
                                                              25,567         694       X        28-11135      694
IDEXX LABS INC               COM            45168D104        684,456      14,043       X        28-5284     13571                472
                                                           1,206,364      24,751       X      X 28-5284      6876              17875
                                                              15,304         314       X        28-11135      314
IGATE CORP                   COM            45169U105         32,520       4,000       X        28-5284      4000
                                                               4,065         500       X      X 28-5284       500
IKON OFFICE SOLUTIONS INC    COM            451713101        123,121      10,915       X      X 28-5284     10000       915
   COLUMN TOTAL                                           56,914,578







                                                                                                                    FILE NO. 28-1235
PAGE 104 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
IHS INC                      CL A           451734107         13,224         190       X        28-11135      190
ILLINOIS TOOL WKS INC        COM            452308109     28,407,417     597,925       X        28-5284    563169              34756
                                                          23,346,462     491,401       X      X 28-5284    420040      1950    69411
                                                               2,471          52       X        28-11135       52
                                                           1,499,701      31,566       X        28-4580     31566
                                                             699,632      14,726       X      X 28-4580     13876       850
ILLUMINA INC                 COM            452327109         29,182         335       X        28-5284       335
IMATION CORP                 COM            45245A107          5,913         258       X        28-5284       208                 50
                                                              40,889       1,784       X      X 28-5284      1784
IMAX CORP                    COM            45245E109          2,736         400       X        28-5284       400
                                                              34,200       5,000       X      X 28-5284      5000
IMCLONE SYS INC              COM            45245W109         19,138         473       X        28-5284       473
IMMERSION CORP               COM            452521107          6,810       1,000       X      X 28-5284      1000
IMMUCOR INC                  COM            452526106         56,858       2,197       X        28-11135     2197
IMMUNOGEN INC                COM            45253H101          6,120       2,000       X        28-5284      2000
                                                               1,530         500       X      X 28-5284       500
IMMUNOMEDICS INC             COM            452907108         21,300      10,000       X        28-5284     10000
IMPERIAL OIL LTD             COM NEW        453038408        314,174       5,705       X        28-5284      5705
                                                           1,487,110      27,004       X      X 28-5284     15604              11400
IMPERIAL TOBACCO GROUP PLC   SPONSORED ADR  453142101         18,414         248       X        28-5284       248
                                                              47,446         639       X      X 28-5284       264                375
INCYTE CORP                  COM            45337C102          1,522         200       X        28-5284       200
INDEPENDENT BANK CORP MASS   COM            453836108         17,880         750       X      X 28-5284       750
INDEPENDENT BANK CORP MICH   COM            453838104          8,000       2,000       X      X 28-5284      2000
INDIA FD INC                 COM            454089103        386,279      10,918       X        28-5284     10793                125
                                                           1,682,071      47,543       X      X 28-5284     47543
   COLUMN TOTAL                                           58,156,479







                                                                                                                    FILE NO. 28-1235
PAGE 105 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
INDYMAC BANCORP INC          COM            456607100         12,524      20,200       X      X 28-5284     20200
                                                                  34          55       X        28-11135       55
INERGY L P                   UNIT LTD PTNR  456615103          2,602         100       X        28-5284       100
                                                              26,020       1,000       X      X 28-5284                         1000
INFINEON TECHNOLOGIES AG     SPONSORED ADR  45662N103          3,975         466       X        28-5284       466
INFOCUS CORP                 COM            45665B106      2,106,459   1,404,306       X      X 28-5284             1404306
INFOLOGIX INC                COM            45668X105        256,250     125,000       X        28-5284    125000
INFOSPACE INC                COM NEW        45678T201          4,165         500       X      X 28-5284                 500
INFOSYS TECHNOLOGIES LTD     SPONSORED ADR  456788108         69,536       1,600       X        28-5284       600               1000
                                                              46,937       1,080       X      X 28-5284        80               1000
                                                             219,473       5,050       X        28-11135     5050
ING GROEP N V                SPONSORED ADR  456837103         60,481       1,917       X        28-5284       917               1000
                                                             152,134       4,822       X      X 28-5284      4822
                                                             419,363      13,292       X        28-11135    13292
                                                              33,191       1,052       X        28-4580      1052
ING GLOBAL EQTY DIV & PREM O COM            45684E107         27,703       1,750       X      X 28-5284      1750
INGLES MKTS INC              CL A           457030104            140           6       X        28-11135        6
INGRAM MICRO INC             CL A           457153104        120,700       6,800       X        28-5284                         6800
                                                               2,964         167       X      X 28-5284       167
                                                               2,609         147       X        28-11135      147
INHIBITEX INC                COM            45719T103        452,085     684,978       X      X 28-5284              684978
INLAND REAL ESTATE CORP      COM NEW        457461200          2,884         200       X        28-5284       200
INSIGHT ENTERPRISES INC      COM            45765U103          4,340         370       X        28-5284                          370
INSITUFORM TECHNOLOGIES INC  CL A           457667103          2,894         190       X        28-5284                          190
INNOSPEC INC                 COM            45768S105         14,868         790       X        28-5284       790
                                                               1,882         100       X      X 28-5284                          100
INNOPHOS HOLDINGS INC        COM            45774N108          3,003          94       X        28-4580        94
   COLUMN TOTAL                                            4,049,216







                                                                                                                    FILE NO. 28-1235
PAGE 106 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
INSTEEL INDUSTRIES INC       COM            45774W108         14,648         800       X        28-5284       800
                                                              25,634       1,400       X      X 28-5284      1400
INTEGRA LIFESCIENCES HLDGS C COM NEW        457985208        518,859      11,665       X        28-5284     11665
                                                              13,344         300       X      X 28-5284       300
INSWEB CORP                  COM NEW        45809K202      2,349,865     251,054       X      X 28-5284              251054
INTEGRATED DEVICE TECHNOLOGY COM            458118106          1,461         147       X        28-5284       147
INTEGRATED SILICON SOLUTION  COM            45812P107      2,287,312     411,387       X      X 28-5284              411387
INTEL CORP                   COM            458140100    115,977,028   5,399,303       X        28-5284   5090644             308659
                                                         112,370,107   5,231,383       X      X 28-5284   4717686     23159   490538
                                                           1,959,212      91,211       X        28-11135    91211
                                                           2,545,487     118,505       X        28-4580    117699                806
                                                           1,708,133      79,522       X      X 28-4580     79222       300
INTEGRYS ENERGY GROUP INC    COM            45822P105        311,232       6,123       X        28-5284      5923                200
                                                             809,010      15,916       X      X 28-5284     15916
                                                               4,829          95       X        28-11135       95
                                                             254,150       5,000       X      X 28-4580      5000
INTER PARFUMS INC            COM            458334109          1,260          84       X        28-11135       84
INTERACTIVE INTELLIGENCE INC COM            45839M103        715,860      61,500       X      X 28-5284     61500
INTERACTIVE BROKERS GROUP IN COM            45841N107          3,052          95       X        28-5284        95
                                                              10,474         326       X        28-11135      326
INTERCONTINENTAL HTLS GRP PL SPONS ADR NEW  45857P301         17,876       1,341       X        28-5284      1341
INTERCONTINENTALEXCHANGE INC COM            45865V100      1,470,486      12,899       X        28-5284     11594               1305
                                                              34,200         300       X      X 28-5284       300
INTERFACE INC                CL A           458665106          5,012         400       X        28-5284                          400
                                                              62,650       5,000       X      X 28-5284      5000
INTERDIGITAL INC             COM            45867G101          7,904         325       X        28-5284       325
                                                             154,019       6,333       X      X 28-5284      6333
INTERMEC INC                 COM            458786100         10,540         500       X        28-5284       500
                                                              16,864         800       X      X 28-5284       800
   COLUMN TOTAL                                          243,660,508







                                                                                                                    FILE NO. 28-1235
PAGE 107 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
INTERMUNE INC                COM            45884X103         24,928       1,900       X      X 28-5284      1900
INTERNAP NETWORK SVCS CORP   COM PAR $.001  45885A300         23,166       4,950       X      X 28-5284      4950
INTERNATIONAL BUSINESS MACHS COM            459200101    136,837,670   1,154,456       X        28-5284   1090419              64037
                                                         202,843,471   1,711,326       X      X 28-5284   1536448      9145   165733
                                                           2,000,075      16,874       X        28-11135    16874
                                                           6,417,333      54,141       X        28-4580     54141
                                                           6,179,680      52,136       X      X 28-4580     52136
INTERNATIONAL COAL GRP INC N COM            45928H106         26,100       2,000       X        28-5284      2000
                                                           1,337,625     102,500       X      X 28-5284    102500
INTERNATIONAL FLAVORS&FRAGRA COM            459506101        142,413       3,646       X        28-5284      2646               1000
                                                             289,435       7,410       X      X 28-5284      5331               2079
                                                                 312           8       X        28-11135        8
INTERNATIONAL GAME TECHNOLOG COM            459902102        710,106      28,427       X        28-5284     28427
                                                             165,443       6,623       X      X 28-5284      6423                200
INTL PAPER CO                COM            460146103      2,279,952      97,852       X        28-5284     97347                505
                                                           2,103,943      90,298       X      X 28-5284     85871               4427
                                                             331,186      14,214       X        28-11135    14214
                                                              39,680       1,703       X        28-4580      1703
                                                              88,540       3,800       X      X 28-4580      3800
INTERNATIONAL RECTIFIER CORP COM            460254105         40,051       2,086       X        28-5284      2086
                                                              17,280         900       X      X 28-5284       900
                                                              41,606       2,167       X        28-11135     2167
INTERNATIONAL SHIPHOLDING CO COM NEW        460321201         71,047       3,031       X        28-5284      3031
INTERNATIONAL SPEEDWAY CORP  CL A           460335201         24,589         630       X        28-5284       630
INTERNET CAP GROUP INC       COM NEW        46059C205        117,875      15,249       X        28-5284     15249
                                                               5,682         735       X      X 28-5284        10       725
INTERSIL CORP                CL A           46069S109         14,592         600       X      X 28-5284       600
                                                              15,054         619       X        28-11135      619
INTERPUBLIC GROUP COS INC    COM            460690100         37,315       4,339       X        28-5284      4339
                                                              25,895       3,011       X      X 28-5284      3011
   COLUMN TOTAL                                          362,252,044







                                                                                                                    FILE NO. 28-1235
PAGE 108 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
INTERSTATE HOTELS & RESRTS I COM            46088S106        136,079      52,540       X        28-5284     52540
INTEST CORP                  COM            461147100        353,624     178,598       X        28-5284    178598
INTUITIVE SURGICAL INC       COM NEW        46120E602      4,131,518      15,336       X        28-5284     14080               1256
                                                           2,729,561      10,132       X      X 28-5284      8657       975      500
                                                              44,990         167       X        28-11135      167
INTUIT                       COM            461202103        302,884      10,986       X        28-5284      8886               2100
                                                           1,329,370      48,218       X      X 28-5284     46058               2160
                                                              38,570       1,399       X        28-11135     1399
INVACARE CORP                COM            461203101          4,906         240       X        28-5284                          240
INTREPID POTASH INC          COM            46121Y102         26,312         400       X        28-5284       400
                                                             134,849       2,050       X      X 28-5284      2050
INVENTIV HEALTH INC          COM            46122E105        313,166      11,269       X        28-11135    11269
                                                               4,391         158       X        28-4580       158
INVERNESS MED INNOVATIONS IN COM            46126P106          2,256          68       X        28-5284        68
INVESTMENT TECHNOLOGY GRP NE COM            46145F105          1,138          34       X        28-5284        34
INVESTORS BANCORP INC        COM            46146P102          2,612         200       X      X 28-5284       200
INVITROGEN CORP              COM            46185R100         53,943       1,374       X        28-5284      1374
                                                               4,711         120       X      X 28-5284       120
                                                               1,178          30       X        28-11135       30
ION MEDIA NETWORKS INC       NOTE 11.000% 7 46205AAB9         70,840       2,530       X        28-5284      2530
IONA TECHNOLOGIES PLC        SPONSORED ADR  46206P109          1,454         369       X        28-5284       369
IOWA TELECOMM SERVICES INC   COM            462594201         18,314       1,040       X        28-5284      1040
                                                             116,226       6,600       X      X 28-5284      6600
IRELAND BK                   SPONSORED ADR  46267Q103          3,458          99       X        28-5284        99
IROBOT CORP                  COM            462726100         41,220       3,000       X      X 28-5284                         3000
IRON MTN INC                 COM            462846106        773,933      29,150       X        28-5284     27129               2021
                                                             883,956      33,294       X      X 28-5284     14919              18375
   COLUMN TOTAL                                           11,525,459







                                                                                                                    FILE NO. 28-1235
PAGE 109 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
ISHARES SILVER TRUST         ISHARES        46428Q109        146,736         850       X        28-5284       850
                                                             394,977       2,288       X      X 28-5284      2288
                                                             172,630       1,000       X        28-4580      1000
ISHARES S&P GSCI COMMODITY I UNIT BEN INT   46428R107         84,424       1,127       X        28-5284      1127
                                                               7,491         100       X      X 28-5284                          100
ISHARES COMEX GOLD TR        ISHARES        464285105        736,591       8,074       X        28-5284      8074
                                                             490,635       5,378       X      X 28-5284      5378
ISHARES INC                  MSCI AUSTRALIA 464286103         13,235         500       X        28-5284       500
                                                             591,710      22,354       X      X 28-5284     22354
ISHARES INC                  MSCI AUSTRIA   464286202         77,114       2,214       X      X 28-5284      2214
ISHARES INC                  MSCI BELGIUM   464286301         39,077       2,061       X      X 28-5284      2061
ISHARES INC                  MSCI BRAZIL    464286400        423,324       4,741       X        28-5284      4741
                                                             479,844       5,374       X      X 28-5284      5374
                                                              49,645         556       X      X 28-4580       556
ISHARES INC                  MSCI CDA INDEX 464286509        226,383       6,827       X        28-5284      6827
                                                             624,701      18,839       X      X 28-5284     18839
ISHARES INC                  MSCI EMU INDEX 464286608      5,633,053      57,486       X        28-5284     57486
                                                             886,810       9,050       X      X 28-5284      8650       400
                                                                 196           2       X        28-11135        2
                                                           1,725,506      17,609       X        28-4580     17609
                                                           1,981,848      20,225       X      X 28-4580     19525                700
ISHARES INC                  MSCI BRIC INDX 464286657          5,214         100       X        28-5284       100
                                                              26,070         500       X      X 28-5284       500
ISHARES INC                  MSCI PAC J IDX 464286665     59,089,598     434,195       X        28-5284    432837               1358
                                                           8,314,827      61,098       X      X 28-5284     59583       101     1414
                                                           1,251,620       9,197       X        28-11135     9197
                                                           2,957,372      21,731       X        28-4580     21331                400
                                                           3,625,029      26,637       X      X 28-4580     25337               1300
ISHARES INC                  MSCI SINGAPORE 464286673         74,460       6,000       X        28-5284      6000
                                                             109,059       8,788       X      X 28-5284      7888                900
                                                              85,232       6,868       X      X 28-4580      6868
   COLUMN TOTAL                                           90,324,411







                                                                                                                    FILE NO. 28-1235
PAGE 110 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
ISHARES INC                  MSCI FRANCE    464286707         21,136         656       X        28-5284       656
ISHARES INC                  MSCI TAIWAN    464286731         44,128       3,123       X      X 28-5284      3123
                                                              91,252       6,458       X        28-11135     6458
ISHARES INC                  MSCI SWITZERLD 464286749         11,895         500       X        28-5284       500
                                                             383,614      16,125       X      X 28-5284     15925                200
ISHARES INC                  MSCI SWEDEN    464286756         25,886       1,010       X      X 28-5284      1010
ISHARES INC                  MSCI SPAIN     464286764         18,076         334       X      X 28-5284       334
ISHARES INC                  MSCI S KOREA   464286772          7,860         154       X        28-5284       154
                                                             142,657       2,795       X      X 28-5284      2795
                                                              25,520         500       X        28-4580       500
ISHARES INC                  MSCI STH AFRCA 464286780         16,736         147       X      X 28-5284       147
ISHARES INC                  MSCI GERMAN    464286806         35,711       1,213       X        28-5284      1213
                                                              36,211       1,230       X      X 28-5284      1230
ISHARES INC                  MSCI MEXICO    464286822         96,798       1,700       X      X 28-5284      1700
ISHARES INC                  MSCI MALAYSIA  464286830          8,320         800       X        28-5284       800
                                                              98,041       9,427       X      X 28-5284      9427
ISHARES INC                  MSCI JAPAN     464286848     26,683,668   2,139,829       X        28-5284   2139429                400
                                                           6,123,817     491,084       X      X 28-5284    487137      3447      500
                                                              13,380       1,073       X        28-11135     1073
                                                           2,303,109     184,692       X        28-4580    181692               3000
                                                           4,039,544     323,941       X      X 28-4580    315941               8000
ISHARES INC                  MSCI HONG KONG 464286871         16,601         980       X        28-5284       980
                                                              25,850       1,526       X      X 28-5284      1526
                                                               8,470         500       X        28-11135      500
ISHARES TR                   S&P 100 IDX FD 464287101     15,976,930     274,801       X        28-5284    262973              11828
                                                           5,178,821      89,075       X      X 28-5284     36575              52500
                                                             302,968       5,211       X        28-4580      5211
                                                             376,980       6,484       X      X 28-4580      6484
   COLUMN TOTAL                                           62,113,979







                                                                                                                    FILE NO. 28-1235
PAGE 111 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
ISHARES TR                   DJ SEL DIV INX 464287168     26,304,425     534,100       X        28-5284    528924               5176
                                                          15,768,668     320,176       X      X 28-5284    312610       501     7065
                                                           1,855,937      37,684       X        28-4580     33284               4400
                                                             824,051      16,732       X      X 28-4580     14732               2000
ISHARES TR                   US TIPS BD FD  464287176     19,073,488     176,852       X        28-5284    175735               1117
                                                           4,144,999      38,433       X      X 28-5284     37208       975      250
                                                             390,741       3,623       X        28-11135     3623
                                                           1,854,589      17,196       X        28-4580     15666               1530
                                                             670,935       6,221       X      X 28-4580      5721                500
ISHARES TR                   FTSE XNHUA IDX 464287184        384,800       2,941       X        28-5284      2941
                                                           1,466,586      11,209       X      X 28-5284     11106                103
                                                               6,542          50       X        28-11135       50
ISHARES TR                   TRANSP AVE IDX 464287192         70,667         800       X        28-5284       800
ISHARES TR                   S&P 500 INDEX  464287200    222,289,408   1,736,636       X        28-5284   1690986              45650
                                                          81,219,584     634,528       X      X 28-5284    584577     28826    21125
                                                           3,316,992      25,914       X        28-4580     25914
                                                           2,154,752      16,834       X      X 28-4580     11434      5400
ISHARES TR                   LEHMAN AGG BND 464287226     78,712,094     783,985       X        28-5284    779643               4342
                                                          10,766,394     107,235       X      X 28-5284    101700       249     5286
                                                             897,676       8,941       X        28-11135     8941
                                                             331,119       3,298       X        28-4580      3298
                                                              13,052         130       X      X 28-4580       130
ISHARES TR                   MSCI EMERG MKT 464287234     75,734,339     558,019       X        28-5284    546965              11054
                                                          44,222,055     325,833       X      X 28-5284    315728      2590     7515
                                                               2,443          18       X        28-11135       18
                                                           1,880,808      13,858       X        28-4580     13858
                                                           1,119,826       8,251       X      X 28-4580      7057       900      294
ISHARES TR                   IBOXX INV CPBD 464287242     46,780,687     461,348       X        28-5284    459898               1450
                                                          10,401,815     102,582       X      X 28-5284     96443      2442     3697
ISHARES TR                   S&P GBL TELCM  464287275         16,557         260       X        28-5284       260
ISHARES TR                   S&P GBL INF    464287291         32,913         575       X        28-5284       575
                                                              48,368         845       X      X 28-5284       845
   COLUMN TOTAL                                          652,757,310







                                                                                                                    FILE NO. 28-1235
PAGE 112 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
ISHARES TR                   S&P500 GRW     464287309     27,961,944     438,069       X        28-5284    433449               4620
                                                          18,760,275     293,910       X      X 28-5284    280713              13197
                                                             280,852       4,400       X        28-4580      4400
ISHARES TR                   S&P GBL HLTHCR 464287325         10,312         200       X        28-5284       200
                                                             830,116      16,100       X      X 28-4580     16100
ISHARES TR                   S&P GBL FIN    464287333         39,772         669       X        28-5284       669
                                                             160,515       2,700       X      X 28-5284      2700
ISHARES TR                   S&P GBL ENER   464287341         90,034         590       X        28-5284       590
                                                             260,183       1,705       X        28-4580      1705
ISHARES TR                   S&P NA NAT RES 464287374     14,041,534      91,631       X        28-5284     89917               1714
                                                           4,896,171      31,951       X      X 28-5284     31951
                                                           2,159,918      14,095       X        28-11135    14095
                                                           3,882,642      25,337       X        28-4580     23337               2000
                                                           8,355,871      54,528       X      X 28-4580     53528               1000
ISHARES TR                   S&P LTN AM 40  464287390      2,142,800       7,792       X        28-5284      7592                200
                                                           2,235,200       8,128       X      X 28-5284      7872                256
                                                              44,000         160       X      X 28-4580       160
ISHARES TR                   S&P 500 VALUE  464287408     14,749,566     232,643       X        28-5284    223243               9400
                                                          16,151,277     254,752       X      X 28-5284    241852       400    12500
                                                             147,532       2,327       X        28-4580      2327
                                                             253,600       4,000       X      X 28-4580      2000               2000
ISHARES TR                   20+ YR TRS BD  464287432      6,554,016      70,977       X        28-5284     70977
                                                             229,927       2,490       X      X 28-5284      2490
ISHARES TR                   7-10 YR TRS BD 464287440      5,014,240      56,980       X        28-5284     56980
                                                           1,039,104      11,808       X      X 28-5284     11808
                                                              28,512         324       X        28-4580       324
ISHARES TR                   1-3 YR TRS BD  464287457     19,565,521     236,042       X        28-5284    235166       376      500
                                                           3,138,133      37,859       X      X 28-5284     37764                 95
                                                             601,947       7,262       X        28-4580      7262
   COLUMN TOTAL                                          153,625,514







                                                                                                                    FILE NO. 28-1235
PAGE 113 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
ISHARES TR                   MSCI EAFE IDX  464287465    333,118,239   4,851,001       X        28-5284   4734330             116671
                                                         206,898,521   3,012,939       X      X 28-5284   2832078     19595   161266
                                                           4,250,879      61,903       X        28-11135    61903
                                                           3,565,690      51,925       X        28-4580     51925
                                                           3,348,487      48,762       X      X 28-4580     42062      6700
ISHARES TR                   RUSSELL MCP VL 464287473     23,018,970     178,941       X        28-5284    173089               5852
                                                           8,850,303      68,799       X      X 28-5284     64469               4330
                                                             312,338       2,428       X        28-4580      2428
                                                             165,560       1,287       X      X 28-4580      1287
ISHARES TR                   RUSSELL MCP GR 464287481     28,390,098     268,236       X        28-5284    258881               9355
                                                          11,485,545     108,518       X      X 28-5284    100545      3103     4870
                                                             696,851       6,584       X        28-4580      6584
                                                             879,848       8,313       X      X 28-4580      8313
ISHARES TR                   RUSSELL MIDCAP 464287499     36,536,933     381,308       X        28-5284    376664               4644
                                                          10,546,141     110,062       X      X 28-5284    107674       845     1543
                                                             637,778       6,656       X        28-4580      6656
                                                             401,198       4,187       X      X 28-4580      4187
ISHARES TR                   S&P MIDCAP 400 464287507     38,487,323     471,774       X        28-5284    386629              85145
                                                          22,175,565     271,826       X      X 28-5284    260879      3718     7229
                                                              70,240         861       X        28-4580       861
                                                             307,557       3,770       X      X 28-4580       370      3400
ISHARES TR                   S&P NA SOFTWR  464287515        215,042       4,555       X        28-5284      4555
                                                              30,687         650       X      X 28-5284       650
ISHARES TR                   S&P NA SEMICND 464287523        193,843       3,786       X        28-5284      3786
                                                              28,160         550       X      X 28-5284       550
                                                               7,731         151       X        28-4580       151
ISHARES TR                   S&P NA TECH FD 464287549         11,192         214       X        28-5284       214
                                                             219,660       4,200       X      X 28-5284      4200
ISHARES TR                   NASDQ BIO INDX 464287556      3,103,107      40,384       X        28-5284     40384
                                                           1,385,963      18,037       X      X 28-5284     18037
                                                              76,917       1,001       X        28-4580      1001
                                                               9,144         119       X      X 28-4580       119
   COLUMN TOTAL                                          739,425,510







                                                                                                                    FILE NO. 28-1235
PAGE 114 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
ISHARES TR                   COHEN&ST RLTY  464287564     23,154,090     308,146       X        28-5284    306766               1380
                                                           8,113,091     107,973       X      X 28-5284    106197       140     1636
                                                              26,600         354       X        28-4580       354
                                                              19,010         253       X      X 28-4580       253
ISHARES TR                   S&P GLB100INDX 464287572         24,136         350       X        28-5284       350
                                                              20,688         300       X      X 28-5284       300
ISHARES TR                   CONS SRVC IDX  464287580         31,752         581       X      X 28-5284       581
ISHARES TR                   RUSSELL1000VAL 464287598     64,045,601     927,525       X        28-5284    895607              31918
                                                          12,216,257     176,919       X      X 28-5284    175229               1690
                                                           4,079,957      59,087       X        28-11135    59087
                                                             118,214       1,712       X        28-4580      1712
                                                             151,496       2,194       X      X 28-4580      2194
ISHARES TR                   S&P MC 400 GRW 464287606      9,058,025     102,339       X        28-5284    101971                368
                                                           7,772,152      87,811       X      X 28-5284     83950       752     3109
                                                             120,020       1,356       X        28-4580      1356
                                                             137,013       1,548       X      X 28-4580      1548
ISHARES TR                   RUSSELL1000GRW 464287614     91,226,153   1,651,451       X        28-5284   1582974              68477
                                                          35,716,030     646,561       X      X 28-5284    523915             122646
                                                           1,303,554      23,598       X        28-11135    23598
                                                           2,507,951      45,401       X        28-4580     45401
                                                             716,297      12,967       X      X 28-4580     12068                899
ISHARES TR                   RUSSELL 1000   464287622     64,511,908     915,582       X        28-5284    915582
                                                           4,659,097      66,124       X      X 28-5284     65291       353      480
                                                             834,528      11,844       X        28-4580     11844
                                                           1,530,884      21,727       X      X 28-4580     21727
ISHARES TR                   RUSL 2000 VALU 464287630     15,433,175     242,203       X        28-5284    239661               2542
                                                           5,970,691      93,702       X      X 28-5284     93427                275
                                                             446,486       7,007       X        28-11135     7007
                                                             213,589       3,352       X        28-4580      3352
                                                             126,612       1,987       X      X 28-4580      1987
ISHARES TR                   RUSL 2000 GROW 464287648     19,509,374     256,163       X        28-5284    249482               6681
                                                           6,257,763      82,166       X      X 28-5284     77047      1638     3481
                                                             621,161       8,156       X        28-11135     8156
                                                             290,627       3,816       X        28-4580      3816
                                                              95,276       1,251       X      X 28-4580      1251
   COLUMN TOTAL                                          381,059,258







                                                                                                                    FILE NO. 28-1235
PAGE 115 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
ISHARES TR                   RUSSELL 2000   464287655     68,500,638     992,044       X        28-5284    976701              15343
                                                          28,419,944     411,585       X      X 28-5284    398904      2495    10186
                                                           1,032,781      14,957       X        28-11135    14957
                                                           1,114,674      16,143       X        28-4580     16143
                                                           1,459,717      21,140       X      X 28-4580     17340      3800
ISHARES TR                   RUSL 3000 VALU 464287663      2,716,079      30,310       X        28-5284     30310
                                                              36,471         407       X      X 28-5284       407
ISHARES TR                   RUSL 3000 GROW 464287671        371,192       8,280       X        28-5284      8280
                                                              97,057       2,165       X      X 28-5284      2165
ISHARES TR                   RUSSELL 3000   464287689     15,929,283     212,674       X        28-5284    212494                180
                                                           4,781,841      63,843       X      X 28-5284     63843
                                                              36,327         485       X        28-4580       485
ISHARES TR                   DJ US UTILS    464287697        316,855       3,197       X        28-5284      3197
                                                             650,261       6,561       X      X 28-5284      6461       100
                                                              19,822         200       X        28-4580       200
ISHARES TR                   S&P MIDCP VALU 464287705     21,526,644     290,822       X        28-5284    290432                390
                                                           3,288,339      44,425       X      X 28-5284     42236       168     2021
                                                             146,856       1,984       X        28-4580      1984
ISHARES TR                   DJ US TELECOMM 464287713        970,417      40,283       X        28-5284     39947                336
                                                             536,605      22,275       X      X 28-5284     22000       275
                                                              31,317       1,300       X        28-4580      1300
                                                               6,504         270       X      X 28-4580       270
ISHARES TR                   DJ US TECH SEC 464287721      5,107,895      94,259       X        28-5284     93160               1099
                                                           4,926,413      90,910       X      X 28-5284     90128       507      275
ISHARES TR                   DJ US REAL EST 464287739      2,991,907      49,209       X        28-5284     49019                190
                                                           1,379,856      22,695       X      X 28-5284     22695
                                                               6,870         113       X      X 28-4580       113
ISHARES TR                   DJ US INDUSTRL 464287754         51,568         800       X        28-5284       800
ISHARES TR                   DJ US HEALTHCR 464287762      4,816,793      78,182       X        28-5284     78122                 60
                                                           2,637,339      42,807       X      X 28-5284     42807
                                                               5,237          85       X        28-4580        85
   COLUMN TOTAL                                          173,913,502







                                                                                                                    FILE NO. 28-1235
PAGE 116 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
ISHARES TR                   DJ US FINL SVC 464287770        611,242       8,865       X        28-5284      8095                770
                                                             310,137       4,498       X      X 28-5284      3098       200     1200
ISHARES TR                   DJ US FINL SEC 464287788      1,167,301      17,194       X        28-5284     16738                456
                                                             456,017       6,717       X      X 28-5284      5997                720
                                                              34,013         501       X        28-4580       501
ISHARES TR                   DJ US ENERGY   464287796        619,291       4,088       X        28-5284      4088
                                                             559,453       3,693       X      X 28-5284      3593                100
                                                              75,745         500       X      X 28-4580       500
ISHARES TR                   S&P SMLCAP 600 464287804     16,782,255     278,914       X        28-5284    265847              13067
                                                          12,034,361     200,006       X      X 28-5284    195263      1525     3218
                                                              70,339       1,169       X        28-4580      1169
                                                              42,721         710       X      X 28-4580       710
ISHARES TR                   CONS GOODS IDX 464287812         55,270       1,000       X      X 28-5284      1000
                                                                 719          13       X        28-11135       13
ISHARES TR                   DJ US BAS MATL 464287838        697,613       8,259       X        28-5284      8259
                                                             450,631       5,335       X      X 28-5284      4980        80      275
ISHARES TR                   DJ US INDEX FD 464287846        511,343       8,096       X        28-5284      8096
                                                             302,726       4,793       X      X 28-5284      4793
ISHARES TR                   S&P EURO PLUS  464287861      5,768,257      59,332       X        28-5284     57531               1801
                                                           1,730,224      17,797       X      X 28-5284     17797
                                                           1,054,448      10,846       X        28-4580     10846
                                                           2,329,391      23,960       X      X 28-4580     23960
ISHARES TR                   S&P SMLCP VALU 464287879      5,946,107      93,366       X        28-5284     63416              29950
                                                           2,161,503      33,940       X      X 28-5284     31600        75     2265
                                                             121,194       1,903       X        28-4580      1903
ISHARES TR                   S&P SMLCP GROW 464287887      9,200,232      72,170       X        28-5284     69633               2537
                                                           6,807,177      53,398       X      X 28-5284     52517        44      837
                                                              97,905         768       X        28-4580       768
                                                              11,601          91       X      X 28-4580        91
ISHARES TR                   MSCI ACWI EX   464288240         24,015         478       X        28-5284       478
ISHARES TR                   MSCI SMALL CAP 464288273          2,199          50       X      X 28-5284        50
   COLUMN TOTAL                                           70,035,430







                                                                                                                    FILE NO. 28-1235
PAGE 117 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
ISHARES TR                   JPMORGAN USD   464288281         10,395         105       X      X 28-5284       105
ISHARES TR                   S&P NATL MUN B 464288414     12,143,749     122,060       X        28-5284    121560                500
                                                           2,799,549      28,139       X      X 28-5284     28139
                                                             348,215       3,500       X      X 28-4580      3500
ISHARES TR                   HIGH YLD CORP  464288513         23,500         250       X        28-5284       250
                                                              52,640         560       X        28-11135      560
ISHARES TR                   LEHMAN INTER G 464288612        625,930       6,090       X        28-5284      6090
ISHARES TR                   LEHMAN 1-3 YR  464288646         50,885         500       X        28-5284       500
                                                              89,049         875       X      X 28-5284       875
ISHARES TR                   LEHMAN 3-7 YR  464288661         53,375         500       X        28-5284       500
ISHARES TR                   US PFD STK IDX 464288687        353,008       8,801       X        28-5284      2759               6042
ISHARES TR                   S&G GL MATERIA 464288695         45,199         545       X      X 28-5284       295                250
                                                             251,622       3,034       X        28-4580      3034
ISHARES TR                   S&P GL UTILITI 464288711          3,887          60       X        28-5284        60
ISHARES TR                   S&P GL C STAPL 464288737        241,980       4,360       X        28-4580      4360
ISHARES TR                   DJ HOME CONSTN 464288752          2,859         200       X        28-5284       200
ISHARES TR                   DJ AEROSPACE   464288760          2,983          55       X      X 28-5284        55
ISHARES TR                   KLD SL SOC INX 464288802      7,887,612     146,965       X        28-5284    142365               4600
                                                           1,144,835      21,331       X      X 28-5284     17831               3500
ISHARES TR                   DJ MED DEVICES 464288810         11,332         200       X      X 28-5284       200
ISHARES TR                   DJ PHARMA INDX 464288836         26,432         546       X        28-4580       546
ISHARES TR                   DJ OIL EQUIP   464288844         17,870         225       X        28-5284       225
ISHARES TR                   DJ OIL&GAS EXP 464288851         51,702         600       X        28-5284       600
                                                               4,309          50       X      X 28-5284                           50
ISHARES TR                   MSCI VAL IDX   464288877      2,717,073      44,608       X        28-5284     44608
                                                           1,793,739      29,449       X      X 28-5284     24852               4597
   COLUMN TOTAL                                           30,753,729







                                                                                                                    FILE NO. 28-1235
PAGE 118 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
ISHARES TR                   MSCI GRW IDX   464288885      6,464,625      91,541       X        28-5284     90860                681
                                                           4,759,223      67,392       X      X 28-5284     65946               1446
                                                               9,392         133       X      X 28-4580       133
ISIS PHARMACEUTICALS INC     COM            464330109        162,197      11,900       X        28-5284     11900
                                                             274,645      20,150       X      X 28-5284     19500                650
ITERIS INC                   COM            46564T107        209,686      82,880       X      X 28-5284               82880
ITC HLDGS CORP               COM            465685105         14,873         291       X        28-11135      291
ITRON INC                    COM            465741106         51,142         520       X        28-5284       250                270
                                                             252,169       2,564       X        28-11135     2564
I2 TECHNOLOGIES INC          COM NEW        465754208        396,119      31,868       X        28-11135    31868
J & J SNACK FOODS CORP       COM            466032109          3,015         110       X        28-5284                          110
JA SOLAR HOLDINGS CO LTD     SPON ADR       466090107          5,055         300       X        28-5284       300
                                                             872,830      51,800       X      X 28-5284     51800
JDS UNIPHASE CORP            COM PAR $0.001 46612J507         10,894         959       X        28-5284       959
                                                               1,704         150       X      X 28-5284       150
JER INVT TR INC              COM            46614H301          8,820       1,400       X        28-5284      1400
JP MORGAN CHASE & CO         COM            46625H100     74,597,179   2,174,211       X        28-5284   2080175      1128    92908
                                                          69,788,427   2,034,055       X      X 28-5284   1826685     17668   189702
                                                             455,259      13,269       X        28-11135    13269
                                                           1,343,374      39,154       X        28-4580     38386                768
                                                             719,000      20,956       X      X 28-4580     19907      1049
J2 GLOBAL COMMUNICATIONS INC COM NEW        46626E205         58,765       2,555       X        28-11135     2555
JABIL CIRCUIT INC            COM            466313103      9,136,448     556,761       X        28-5284    509332              47429
                                                           1,099,733      67,016       X      X 28-5284     58777               8239
                                                               4,923         300       X      X 28-4580       300
JACK IN THE BOX INC          COM            466367109         10,757         480       X        28-5284                          480
   COLUMN TOTAL                                          170,710,254







                                                                                                                    FILE NO. 28-1235
PAGE 119 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
JACOBS ENGR GROUP INC DEL    COM            469814107      5,806,123      71,947       X        28-5284     69355               2592
                                                           4,064,940      50,371       X      X 28-5284     44271       200     5900
                                                              51,729         641       X        28-11135      641
                                                              25,259         313       X        28-4580       313
                                                              54,876         680       X      X 28-4580       680
JAKKS PAC INC                COM            47012E106          5,026         230       X        28-5284                          230
                                                               1,988          91       X        28-11135       91
JANUS CAP GROUP INC          COM            47102X105            953          36       X        28-5284        36
                                                               9,265         350       X      X 28-5284                          350
JARDEN CORP                  COM            471109108        494,304      27,100       X      X 28-5284     27000                100
                                                              54,756       3,002       X        28-11135     3002
                                                              36,480       2,000       X        28-4580                         2000
JEFFERIES GROUP INC NEW      COM            472319102          1,665          99       X        28-5284        99
                                                               2,103         125       X        28-11135      125
JOHNSON & JOHNSON            COM            478160104    256,822,954   3,991,653       X        28-5284   3832839             158814
                                                         259,187,320   4,028,401       X      X 28-5284   3663282     30561   334558
                                                           1,190,097      18,497       X        28-11135    18497
                                                           5,806,363      90,245       X        28-4580     89755                490
                                                           8,201,935     127,478       X      X 28-4580    125578               1900
JOHNSON CTLS INC             COM            478366107     15,027,546     523,973       X        28-5284    505304              18669
                                                          10,474,051     365,204       X      X 28-5284    333529      1118    30557
                                                             152,578       5,320       X        28-11135     5320
                                                              25,812         900       X        28-4580       900
                                                              73,392       2,559       X      X 28-4580      2559
JONES APPAREL GROUP INC      COM            480074103         92,166       6,703       X        28-5284       228               6475
                                                              12,375         900       X      X 28-5284       900
JONES SODA CO                COM            48023P106          3,220       1,000       X        28-5284      1000
                                                               3,381       1,050       X      X 28-5284      1050
JOS A BANK CLOTHIERS INC     COM            480838101         70,219       2,625       X        28-5284       625               2000
                                                              42,800       1,600       X      X 28-5284      1600
JOY GLOBAL INC               COM            481165108        156,437       2,063       X        28-5284      1779                284
                                                           2,062,576      27,200       X      X 28-5284     26900                300
                                                               6,825          90       X        28-11135       90
   COLUMN TOTAL                                          570,021,514







                                                                                                                    FILE NO. 28-1235
PAGE 120 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
JUNIPER NETWORKS INC         COM            48203R104        194,164       8,754       X        28-5284      8754
                                                             152,709       6,885       X      X 28-5284      6885
KBR INC                      COM            48242W106        254,110       7,279       X        28-5284      6801                478
                                                             727,943      20,852       X      X 28-5284     16546               4306
                                                               2,374          68       X        28-11135       68
KBW INC                      COM            482423100         41,160       2,000       X        28-5284      2000
                                                               4,116         200       X      X 28-5284       200
KHD HUMBOLDT WEDAG INTL LTD  COM            482462108          6,306         200       X        28-5284       200
KKR FINANCIAL HLDGS LLC      COM            48248A306          5,250         500       X      X 28-5284                          500
KLA-TENCOR CORP              COM            482480100         13,027         320       X        28-5284       320
                                                              86,102       2,115       X      X 28-5284       100               2015
                                                             745,848      18,321       X        28-11135    18321
KT CORP                      SPONSORED ADR  48268K101          2,558         120       X        28-5284       120
K SEA TRANSN PARTNERS LP     COM            48268Y101         15,885         500       X        28-5284       500
K-SWISS INC                  CL A           482686102          2,940         200       X        28-5284                          200
K TRON INTL INC              COM            482730108         19,310         149       X        28-5284       149
                                                             565,834       4,366       X      X 28-5284      1426               2940
K V PHARMACEUTICAL CO        CL A           482740206          6,630         343       X        28-5284       343
                                                              52,326       2,707       X        28-11135     2707
KAISER ALUMINUM CORP         COM PAR $0.01  483007704        297,627       5,560       X        28-11135     5560
KAMAN CORP                   COM            483548103          4,552         200       X        28-5284                          200
KANSAS CITY SOUTHERN         COM NEW        485170302          4,399         100       X        28-5284       100
                                                             492,688      11,200       X      X 28-5284                        11200
                                                              14,913         339       X        28-11135      339
KAYDON CORP                  COM            486587108          1,028          20       X        28-5284        20
                                                              12,853         250       X      X 28-5284       250
                                                             550,087      10,700       X        28-11135    10700
   COLUMN TOTAL                                            4,276,739







                                                                                                                    FILE NO. 28-1235
PAGE 121 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
KAYNE ANDERSON ENRGY TTL RT  COM            48660P104         23,339         800       X        28-5284       800
                                                              35,009       1,200       X      X 28-5284      1200
KAYNE ANDERSON ENERGY DEV CO COM            48660Q102         27,540       1,200       X      X 28-5284      1200
KAYNE ANDERSON MLP INVSMNT C COM            486606106        355,348      12,950       X      X 28-5284     12950
                                                              34,135       1,244       X      X 28-4580      1244
KB HOME                      COM            48666K109        166,134       9,813       X        28-5284       300               9513
                                                               8,465         500       X      X 28-5284       500
KEITHLEY INSTRS INC          COM            487584104            760          80       X        28-5284                           80
KELLOGG CO                   COM            487836108      2,503,763      52,140       X        28-5284     47261               4879
                                                           2,292,331      47,737       X      X 28-5284     42545       125     5067
                                                              80,434       1,675       X        28-4580      1675
                                                              57,624       1,200       X      X 28-4580                         1200
KEMET CORP                   COM            488360108          3,240       1,000       X        28-5284      1000
KENEXA CORP                  COM            488879107        227,361      12,068       X        28-11135    12068
KENNAMETAL INC               COM            489170100         34,698       1,066       X        28-5284      1066
                                                             707,312      21,730       X      X 28-5284     21730
KENSEY NASH CORP             COM            490057106             32           1       X        28-11135        1
KEY ENERGY SVCS INC          COM            492914106         58,260       3,000       X      X 28-5284                         3000
KEYCORP NEW                  COM            493267108        280,835      25,577       X        28-5284     13843              11734
                                                              75,125       6,842       X      X 28-5284      6067       575      200
KEYNOTE SYS INC              COM            493308100         46,368       3,600       X      X 28-5284                3600
KFORCE INC                   COM            493732101         42,450       5,000       X      X 28-5284      5000
KILROY RLTY CORP             COM            49427F108         13,639         290       X        28-5284                          290
                                                              18,342         390       X      X 28-5284       390
                                                               1,787          38       X        28-11135       38
   COLUMN TOTAL                                            7,094,331







                                                                                                                    FILE NO. 28-1235
PAGE 122 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
KIMBERLY CLARK CORP          COM            494368103     23,612,323     394,987       X        28-5284    371362              23625
                                                          31,487,023     526,715       X      X 28-5284    512680      4400     9635
                                                             916,846      15,337       X        28-11135    15337
                                                             102,104       1,708       X        28-4580      1708
                                                             313,606       5,246       X      X 28-4580      5246
KIMCO REALTY CORP            COM            49446R109      1,314,142      38,069       X        28-5284     38069
                                                           1,827,454      52,939       X      X 28-5284     45539               7400
                                                              17,709         513       X        28-11135      513
                                                             129,450       3,750       X      X 28-4580      3750
KINDER MORGAN MANAGEMENT LLC SHS            49455U100        136,187       2,529       X        28-5284      2529
                                                              29,618         550       X      X 28-5284       550
KINDER MORGAN ENERGY PARTNER UT LTD PARTNER 494550106      2,798,148      50,209       X        28-5284     50209
                                                           6,941,952     124,564       X      X 28-5284    115459      2200     6905
KINETIC CONCEPTS INC         COM NEW        49460W208      3,745,154      93,840       X        28-5284     81865              11975
                                                             790,657      19,811       X      X 28-5284     16011               3800
                                                               7,982         200       X      X 28-4580       200
KING PHARMACEUTICALS INC     COM            495582108          2,754         263       X        28-5284       263
                                                             212,018      20,250       X      X 28-5284     20250
KINROSS GOLD CORP            COM NO PAR     496902404         59,308       2,512       X        28-5284      2512
                                                              37,776       1,600       X      X 28-5284      1600
KIRBY CORP                   COM            497266106         20,640         430       X        28-5284                          430
KNIGHT TRANSN INC            COM            499064103         54,351       2,970       X        28-5284      2970
KNOLOGY INC                  COM            499183804        887,684      80,772       X        28-5284         5              80767
KNOT INC                     COM            499184109            978         100       X        28-5284       100
                                                              78,729       8,050       X      X 28-5284      3625               4425
KODIAK OIL & GAS CORP        COM            50015Q100         13,680       3,000       X      X 28-5284      3000
KOHLS CORP                   COM            500255104     12,422,250     310,246       X        28-5284    284916              25330
                                                           2,432,350      60,748       X      X 28-5284     51618               9130
                                                             664,944      16,607       X        28-11135    16607
KONAMI CORP                  SPONSORED ADR  50046R101          8,643         248       X        28-5284       248
   COLUMN TOTAL                                           91,066,460







                                                                                                                    FILE NO. 28-1235
PAGE 123 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
KONGZHONG CORP               SPONSORED ADR  50047P104          1,865         500       X      X 28-5284       500
                                                               7,460       2,000       X        28-4580      2000
KONINKLIJKE PHILIPS ELECTRS  NY REG SH NEW  500472303        225,142       6,661       X        28-5284      6661
                                                             141,284       4,180       X      X 28-5284       800               3380
                                                               2,974          88       X        28-11135       88
KOOKMIN BK NEW               SPONSORED ADR  50049M109          2,516          43       X        28-5284        43
                                                                 234           4       X      X 28-5284         4
KOPPERS HOLDINGS INC         COM            50060P106         20,935         500       X        28-5284       500
                                                             670,883      16,023       X      X 28-5284     16023
KOPIN CORP                   COM            500600101          1,177         410       X        28-5284                          410
KOREA ELECTRIC PWR           SPONSORED ADR  500631106         58,120       4,000       X      X 28-5284      4000
                                                               1,003          69       X        28-11135       69
KOREA FD                     COM            500634100          2,137         100       X        28-5284       100
KORN FERRY INTL              COM NEW        500643200         18,876       1,200       X        28-5284      1200
                                                              60,561       3,850       X      X 28-5284      3850
KRAFT FOODS INC              CL A           50075N104     19,234,960     676,097       X        28-5284    640874              35223
                                                          82,101,323   2,885,811       X      X 28-5284   2831576      4586    49649
                                                             789,544      27,752       X        28-11135    27752
                                                             791,849      27,833       X        28-4580     26380               1453
                                                             557,961      19,612       X      X 28-4580     19612
KRISPY KREME DOUGHNUTS INC   COM            501014104            499         100       X      X 28-5284       100
KROGER CO                    COM            501044101      1,099,370      38,080       X        28-5284     30280               7800
                                                             779,923      27,015       X      X 28-5284     27015
                                                               1,963          68       X        28-11135       68
                                                              14,435         500       X        28-4580       500
KRONOS WORLDWIDE INC         COM            50105F105          4,048         263       X        28-5284       263
KUBOTA CORP                  ADR            501173207         30,529         853       X        28-5284       853
                                                               7,766         217       X      X 28-5284       217
KULICKE & SOFFA INDS INC     COM            501242101          6,269         860       X        28-5284       500                360
   COLUMN TOTAL                                          106,635,606







                                                                                                                    FILE NO. 28-1235
PAGE 124 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
KYOCERA CORP                 ADR            501556203          7,994          85       X        28-5284        85
                                                              30,472         324       X        28-11135      324
LCA-VISION INC               COM PAR $.001  501803308         76,320      16,000       X      X 28-5284               16000
                                                              17,377       3,643       X        28-11135     3643
LDK SOLAR CO LTD             SPONSORED ADR  50183L107          3,788         100       X        28-5284       100
                                                                 682          18       X        28-4580        18
LKQ CORP                     COM            501889208         50,596       2,800       X      X 28-5284      2800
LL & E RTY TR                UNIT BEN INT   502003106          1,450         650       X        28-5284       650
                                                               5,910       2,650       X      X 28-5284      2650
LMI AEROSPACE INC            COM            502079106          8,785         500       X        28-5284       500
LSB CORP                     COM            50215P100        259,080      17,000       X      X 28-5284     17000
LSB INDS INC                 COM            502160104         31,680       1,600       X      X 28-5284      1600
LSI CORPORATION              COM            502161102         33,831       5,510       X        28-5284      5510
                                                               8,891       1,448       X      X 28-5284      1423                 25
                                                                  12           2       X        28-11135        2
                                                                 448          73       X        28-4580        73
LTC PPTYS INC                COM            502175102         69,600       2,723       X        28-11135     2723
LTX CORP                     COM            502392103          1,540         700       X        28-5284       700
L-3 COMMUNICATIONS HLDGS INC COM            502424104      2,379,158      26,182       X        28-5284     18382               7800
                                                           1,258,368      13,848       X      X 28-5284      6398               7450
                                                             356,665       3,925       X        28-11135     3925
LA Z BOY INC                 COM            505336107          2,601         340       X        28-5284                          340
LABORATORY CORP AMER HLDGS   COM NEW        50540R409        182,570       2,622       X        28-5284      2622
                                                             842,523      12,100       X      X 28-5284      8800               3300
                                                             857,772      12,319       X        28-11135    12319
                                                              70,117       1,007       X      X 28-4580      1007
LACLEDE GROUP INC            COM            505597104         63,785       1,580       X        28-5284      1400                180
                                                              16,148         400       X      X 28-5284       400
   COLUMN TOTAL                                            6,638,163







                                                                                                                    FILE NO. 28-1235
PAGE 125 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
LADENBURG THALMAN FIN SVCS I COM            50575Q102          7,550       5,000       X        28-5284      5000
LADISH INC                   COM NEW        505754200         10,295         500       X        28-5284       500
LAKELAND BANCORP INC         COM            511637100        216,975      17,814       X        28-5284     17814
LAKELAND FINL CORP           COM            511656100        172,979       9,066       X        28-11135     9066
LAM RESEARCH CORP            COM            512807108        831,016      22,988       X        28-5284     22988
                                                             558,771      15,457       X      X 28-5284     15007                450
                                                               3,796         105       X        28-11135      105
                                                              99,304       2,747       X        28-4580      2747
LAMAR ADVERTISING CO         CL A           512815101            973          27       X        28-5284        27
                                                             151,326       4,200       X      X 28-5284      4200
LANCE INC                    COM            514606102          3,942         210       X        28-5284                          210
LANDAUER INC                 COM            51476K103         32,338         575       X      X 28-5284       575
LANDAMERICA FINL GROUP INC   COM            514936103         20,326         916       X        28-5284                          916
                                                               4,150         187       X      X 28-5284       187
LANDSTAR SYS INC             COM            515098101         25,180         456       X        28-5284        26                430
                                                                 276           5       X      X 28-5284         5
                                                              12,645         229       X        28-11135      229
LANTRONIX INC                COM            516548104              8          11       X        28-5284        11
                                                                 233         337       X      X 28-5284                 337
LAS VEGAS SANDS CORP         COM            517834107      1,371,301      28,906       X        28-5284     25976               2930
                                                              20,731         437       X      X 28-5284       437
LASALLE HOTEL PPTYS          COM SH BEN INT 517942108        242,379       9,645       X        28-5284      9645
                                                              14,324         570       X      X 28-5284       570
LATIN AMER EQUITY FD INC NEW COM            51827Q106          3,744          75       X        28-5284        75
LAUDER ESTEE COS INC         CL A           518439104        191,931       4,132       X        28-5284      4132
                                                               3,159          68       X      X 28-5284        68
LAWSON PRODS INC             COM            520776105          1,239          50       X        28-5284                           50
   COLUMN TOTAL                                            4,000,891







                                                                                                                    FILE NO. 28-1235
PAGE 126 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
LAYNE CHRISTENSEN CO         COM            521050104         21,895         500       X      X 28-5284       500
                                                             220,702       5,040       X        28-11135     5040
LEADIS TECHNOLOGY INC        COM            52171N103        304,894     190,559       X      X 28-5284              190559
LEAPFROG ENTERPRISES INC     CL A           52186N106            824          99       X        28-11135       99
LEAP WIRELESS INTL INC       COM NEW        521863308          1,295          30       X        28-5284        30
                                                               1,554          36       X        28-11135       36
LEE ENTERPRISES INC          COM            523768109         14,575       3,653       X        28-5284      1233               2420
LEGGETT & PLATT INC          COM            524660107        117,390       7,000       X        28-5284                         7000
                                                             796,072      47,470       X      X 28-5284     45775               1695
LEGACY RESERVES LP           UNIT LP INT    524707304      1,442,702      58,150       X      X 28-5284     58150
LEGG MASON INC               COM            524901105      4,051,661      92,992       X        28-5284     74643              18349
                                                           3,289,579      75,501       X      X 28-5284     59327       575    15599
                                                               9,150         210       X        28-4580       210
                                                               6,536         150       X      X 28-4580       150
LEHMAN BROS HLDGS INC        COM            524908100      1,697,717      85,700       X        28-5284     84185               1515
                                                           1,824,303      92,090       X      X 28-5284     84215       258     7617
                                                             422,092      21,307       X        28-11135    21307
                                                               2,476         125       X        28-4580       125
                                                              52,695       2,660       X      X 28-4580      2660
LEHMAN BR FIRST TR INCM OPP  COM            525178109         41,381       3,675       X      X 28-5284      1675               2000
LENNAR CORP                  CL A           526057104         85,479       6,927       X        28-5284       250               6677
                                                               6,195         502       X      X 28-5284       502
LENNAR CORP                  CL B           526057302            755          68       X        28-5284        68
LENNOX INTL INC              COM            526107107         13,901         480       X        28-5284                          480
                                                                 145           5       X      X 28-5284         5
                                                               7,559         261       X        28-11135      261
LEUCADIA NATL CORP           COM            527288104        367,306       7,825       X        28-5284      7825
                                                           8,174,836     174,155       X      X 28-5284    147180     22000     4975
                                                              82,145       1,750       X        28-4580                         1750
   COLUMN TOTAL                                           23,057,814







                                                                                                                    FILE NO. 28-1235
PAGE 127 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
LEVEL 3 COMMUNICATIONS INC   COM            52729N100         12,532       4,248       X        28-5284      4248
                                                             153,400      52,000       X      X 28-5284     52000
                                                              38,191      12,946       X      X 28-4580     12946
LEXINGTON REALTY TRUST       COM            529043101         27,396       2,010       X        28-5284      2010
                                                             661,287      48,517       X      X 28-5284     34892              13625
LEXMARK INTL NEW             CL A           529771107         76,889       2,300       X        28-5284                         2300
                                                              14,642         438       X      X 28-5284       438
LIBBEY INC                   COM            529898108            744         100       X        28-5284                          100
                                                               7,440       1,000       X      X 28-5284      1000
LIBERTY ALL STAR EQUITY FD   SH BEN INT     530158104         17,610       3,000       X      X 28-5284      3000
LIBERTY GLOBAL INC           COM SER A      530555101        452,309      14,391       X        28-5284      4775               9616
                                                           1,587,812      50,519       X      X 28-5284     41503               9016
                                                               1,572          50       X        28-11135       50
LIBERTY GLOBAL INC           COM SER C      530555309        860,767      28,352       X        28-5284      6783              21569
                                                           1,838,298      60,550       X      X 28-5284     41503       217    18830
                                                              14,057         463       X        28-11135      463
LIBERTY MEDIA CORP NEW       INT COM SER A  53071M104        684,037      46,344       X        28-5284     11444              34900
                                                           1,410,894      95,589       X      X 28-5284     75653      1086    18850
                                                               3,291         223       X        28-11135      223
LIBERTY MEDIA CORP NEW       CAP COM SER A  53071M302        263,880      18,325       X        28-5284      4050              14275
                                                             740,995      51,458       X      X 28-5284     46787       217     4454
                                                                 634          44       X        28-11135       44
                                                              57,600       4,000       X        28-4580                         4000
LIBERTY MEDIA CORP NEW       ENT COM SER A  53071M500      1,434,222      59,192       X        28-5284     12792              46400
                                                           1,827,039      75,404       X      X 28-5284     59456       868    15080
                                                               4,264         176       X        28-11135      176
LIBERTY PPTY TR              SH BEN INT     531172104         43,625       1,316       X        28-5284      1316
                                                             789,268      23,809       X      X 28-5284     23809
LIFE SCIENCES RESH INC       COM            532169109            254           9       X        28-11135        9
LIFE TIME FITNESS INC        COM            53217R207         32,505       1,100       X      X 28-5284      1100
   COLUMN TOTAL                                           13,057,454







                                                                                                                    FILE NO. 28-1235
PAGE 128 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
LIFEPOINT HOSPITALS INC      COM            53219L109         37,158       1,313       X        28-5284      1282                 31
                                                               5,773         204       X      X 28-5284       204
LIGAND PHARMACEUTICALS INC   CL B           53220K207            190          73       X        28-11135       73
LIHIR GOLD LTD               SPONSORED ADR  532349107          5,644         178       X        28-5284       178
LILLY ELI & CO               COM            532457108     24,273,651     525,859       X        28-5284    495544       977    29338
                                                          22,946,274     497,103       X      X 28-5284    444220              52883
                                                               7,293         158       X        28-11135      158
                                                             109,261       2,367       X        28-4580      2367
                                                             553,689      11,995       X      X 28-4580     11995
LIMITED BRANDS INC           COM            532716107        171,600      10,184       X        28-5284      1384               8800
                                                               2,224         132       X      X 28-5284                          132
                                                             709,806      42,125       X        28-11135    42125
LINCARE HLDGS INC            COM            532791100          7,100         250       X        28-5284       250
                                                              25,560         900       X      X 28-5284       900
LINCOLN EDL SVCS CORP        COM            533535100         11,630       1,000       X        28-5284      1000
LINCOLN ELEC HLDGS INC       COM            533900106          7,870         100       X        28-5284       100
LINCOLN NATL CORP IND        COM            534187109      5,385,194     118,826       X        28-5284     96850              21976
                                                           7,377,144     162,779       X      X 28-5284    136145       904    25730
                                                               4,124          91       X        28-4580        91
LINDSAY CORP                 COM            535555106          7,647          90       X        28-5284                           90
LINEAR TECHNOLOGY CORP       COM            535678106      3,158,508      96,976       X        28-5284     94670               2306
                                                             409,405      12,570       X      X 28-5284     11870                700
                                                              10,097         310       X        28-11135      310
LIONS GATE ENTMNT CORP       COM NEW        535919203          3,108         300       X        28-5284       300
                                                              55,944       5,400       X      X 28-5284      5400
LINN ENERGY LLC              UNIT LTD LIAB  536020100         33,299       1,340       X        28-5284      1340
                                                              59,640       2,400       X      X 28-5284       400               2000
LIONBRIDGE TECHNOLOGIES INC  COM            536252109         12,900       5,000       X      X 28-5284                5000
LITTELFUSE INC               COM            537008104          6,310         200       X      X 28-5284       200
   COLUMN TOTAL                                           65,398,043







                                                                                                                    FILE NO. 28-1235
PAGE 129 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
LIVE NATION INC              COM            538034109            116          11       X        28-5284                           11
                                                                 868          82       X      X 28-5284        82
LIZ CLAIBORNE INC            COM            539320101        206,972      14,627       X        28-5284     13227               1400
                                                             254,063      17,955       X      X 28-5284     17705       250
                                                               2,830         200       X        28-4580       200
LLOYDS TSB GROUP PLC         SPONSORED ADR  539439109         27,729       1,124       X        28-5284      1124
                                                              80,893       3,279       X      X 28-5284      3279
                                                               2,467         100       X        28-11135      100
LOCKHEED MARTIN CORP         COM            539830109     26,426,476     267,854       X        28-5284    255304              12550
                                                          16,890,493     171,199       X      X 28-5284    158309      2103    10787
                                                             425,323       4,311       X        28-11135     4311
                                                             329,722       3,342       X        28-4580      3342
                                                              77,941         790       X      X 28-4580       790
LOEWS CORP                   COM            540424108         88,922       1,896       X        28-5284      1896
                                                             263,437       5,617       X      X 28-5284      1017               4600
                                                              85,546       1,824       X      X 28-4580      1824
LONGS DRUG STORES CORP       COM            543162101         25,266         600       X        28-5284       400                200
                                                              21,055         500       X      X 28-5284                          500
LONGTOP FINL TECHNOLOGIES LT ADR            54318P108          3,974         240       X        28-5284       240
LOOPNET INC                  COM            543524300         31,075       2,750       X      X 28-5284      2750
LORAL SPACE & COMMUNICATNS L COM            543881106          1,357          77       X        28-5284        77
LORILLARD INC                COM            544147101          1,383          20       X        28-5284        20
                                                                  69           1       X      X 28-5284         1
LOUISIANA PAC CORP           COM            546347105         40,243       4,740       X        28-5284                         4740
                                                              36,609       4,312       X      X 28-5284      4312
                                                                 170          20       X        28-11135       20
LOWES COS INC                COM            548661107     14,371,720     692,613       X        28-5284    671190              21423
                                                           9,743,038     469,544       X      X 28-5284    446294      1600    21650
                                                               7,781         375       X        28-11135      375
                                                             146,288       7,050       X        28-4580      7050
                                                              80,552       3,882       X      X 28-4580      3882
   COLUMN TOTAL                                           69,674,378







                                                                                                                    FILE NO. 28-1235
PAGE 130 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
LUBRIZOL CORP                COM            549271104        488,411      10,542       X        28-5284      6602               3940
                                                             416,507       8,990       X      X 28-5284      8785                205
LUCENT TECHNOLOGIES INC      DBCV  2.750% 6 549463AG2      2,711,418       3,000       X        28-11439     3000
LUFKIN INDS INC              COM            549764108         41,640         500       X      X 28-5284                          500
                                                              11,742         141       X        28-11135      141
LUMINEX CORP DEL             COM            55027E102         10,275         500       X        28-5284       500
                                                             984,098      47,888       X        28-11135    47888
LUNDIN MINING CORP           COM            550372106          1,730         285       X        28-5284       285
                                                             317,546      52,314       X        28-11135    52314
LUXOTTICA GROUP S P A        SPONSORED ADR  55068R202         10,382         445       X        28-5284       445
LYDALL INC DEL               COM            550819106          1,381         110       X        28-5284                          110
M & F WORLDWIDE CORP         COM            552541104        117,930       3,000       X      X 28-5284                3000
M & T BK CORP                COM            55261F104      3,173,736      44,992       X        28-5284     42610               2382
                                                           4,270,562      60,541       X      X 28-5284     56056               4485
                                                              42,324         600       X        28-4580       600
                                                              54,245         769       X      X 28-4580       769
MBIA INC                     COM            55262C100         63,528      14,471       X        28-5284     14471
                                                              82,313      18,750       X      X 28-5284     18750
MB FINANCIAL INC NEW         COM            55264U108            337          15       X      X 28-5284                           15
M D C HLDGS INC              COM            552676108         16,679         427       X        28-5284                          427
                                                               2,890          74       X      X 28-5284        74
MDU RES GROUP INC            COM            552690109        272,849       7,827       X        28-5284      7650                177
                                                             434,879      12,475       X      X 28-5284     12475
MEMC ELECTR MATLS INC        COM            552715104        440,996       7,166       X        28-5284      2180               4986
                                                             313,854       5,100       X      X 28-5284      3600               1500
                                                           1,247,724      20,275       X        28-11135    20275
MFS CHARTER INCOME TR        SH BEN INT     552727109        129,780      15,750       X        28-5284     15750
                                                             123,600      15,000       X      X 28-5284      1700              13300
   COLUMN TOTAL                                           15,783,356







                                                                                                                    FILE NO. 28-1235
PAGE 131 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
MFS INTER INCOME TR          SH BEN INT     55273C107         16,848       2,700       X        28-5284      2700
                                                              87,360      14,000       X      X 28-5284                        14000
MFS MULTIMARKET INCOME TR    SH BEN INT     552737108        290,700      51,000       X      X 28-5284      1000              50000
MFS MUN INCOME TR            SH BEN INT     552738106         44,100       6,000       X        28-5284      6000
                                                              14,700       2,000       X      X 28-5284                         2000
                                                               7,703       1,048       X        28-4580      1048
MGE ENERGY INC               COM            55277P104         26,781         821       X        28-5284       821
                                                              26,096         800       X      X 28-5284       800
MGIC INVT CORP WIS           COM            552848103        238,596      39,050       X      X 28-5284     39050
MFS GOVT MKTS INCOME TR      SH BEN INT     552939100         21,621       3,102       X        28-5284      3102
                                                              38,335       5,500       X      X 28-5284                         5500
MGM MIRAGE                   COM            552953101        128,104       3,780       X        28-5284      3780
                                                             171,822       5,070       X      X 28-5284      4970       100
                                                               3,389         100       X        28-11135      100
MI DEVS INC                  CL A SUB VTG   55304X104          5,623         250       X      X 28-5284       250
MKS INSTRUMENT INC           COM            55306N104         85,410       3,900       X      X 28-5284      3900
MSC INDL DIRECT INC          CL A           553530106         24,261         550       X        28-5284       550
MTS SYS CORP                 COM            553777103        175,812       4,900       X        28-5284      4900
                                                             490,300      13,665       X      X 28-5284       425              13240
MVC CAPITAL INC              COM            553829102          6,845         500       X        28-5284       500
MACATAWA BK CORP             COM            554225102          8,000       1,000       X      X 28-5284      1000
MACERICH CO                  COM            554382101      1,014,583      16,330       X        28-5284     16330
                                                             107,485       1,730       X      X 28-5284      1730
MACK CALI RLTY CORP          COM            554489104        247,938       7,256       X        28-5284      7256
                                                             437,547      12,805       X      X 28-5284     11805               1000
MACKINAC FINL CORP           COM            554571109        175,000      25,000       X      X 28-5284     25000
MACQUARIE FT TR GB INF UT DI COM            55607W100         24,064       1,199       X        28-5284      1199
   COLUMN TOTAL                                            3,919,023







                                                                                                                    FILE NO. 28-1235
PAGE 132 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
MACQUARIE INFRASTR CO LLC    MEMBERSHIP INT 55608B105         67,398       2,665       X        28-5284      2665
                                                             174,501       6,900       X      X 28-5284      6900
MACQUARIE GLBL INFRA TOTL RE COM            55608D101             67           3       X      X 28-5284         3
MACROVISION SOLUTIONS CORP   COM            55611C108            718          48       X        28-5284        48
MACYS INC                    COM            55616P104      1,410,882      72,651       X        28-5284     65889               6762
                                                           1,696,531      87,360       X      X 28-5284     80874               6486
                                                               1,942         100       X        28-11135      100
                                                              23,149       1,192       X        28-4580      1192
                                                               3,884         200       X      X 28-4580       200
MADDEN STEVEN LTD            COM            556269108         23,839       1,297       X        28-5284      1297
                                                               1,176          64       X        28-11135       64
MAG SILVER CORP              COM            55903Q104        738,000      75,000       X        28-5284     75000
                                                           2,214,000     225,000       X      X 28-5284    225000
MAGELLAN MIDSTREAM HLDGS LP  COM LP INTS    55907R108         60,750       2,700       X      X 28-5284      1000               1700
MAGELLAN MIDSTREAM PRTNRS LP COM UNIT RP LP 559080106        263,366       7,400       X        28-5284      7400
                                                             414,624      11,650       X      X 28-5284      7650      3400      600
MAGELLAN PETE CORP           COM            559091301        598,326     369,337       X      X 28-5284              369337
MAGNA INTL INC               CL A           559222401         53,316         900       X        28-5284       200                700
                                                              29,620         500       X      X 28-5284       500
                                                               2,014          34       X        28-11135       34
MAGNETEK INC                 COM            559424106            931         220       X        28-5284                          220
                                                           1,674,619     395,891       X      X 28-5284              395891
MAGUIRE PPTYS INC            COM            559775101         22,758       1,870       X        28-5284      1870
                                                              48,680       4,000       X      X 28-5284      1000      3000
MAGYAR TELEKOM TELECOMMUNS P SPONSORED ADR  559776109          2,409         100       X      X 28-5284       100
MAIDENFORM BRANDS INC        COM            560305104         48,924       3,624       X        28-11135     3624
MAINSOURCE FINANCIAL GP INC  COM            56062Y102         32,550       2,100       X        28-5284      2100
   COLUMN TOTAL                                            9,608,974







                                                                                                                    FILE NO. 28-1235
PAGE 133 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
MAIR HOLDINGS INC            COM            560635104      2,192,087     541,256       X      X 28-5284              541256
MANAGEMENT NETWORK GROUP INC COM            561693102        912,485     629,300       X      X 28-5284              629300
MANHATTAN ASSOCS INC         COM            562750109          4,746         200       X        28-5284                          200
                                                              52,206       2,200       X      X 28-5284      2200
MANITOWOC INC                COM            563571108        114,278       3,513       X        28-5284      3149                364
                                                              86,205       2,650       X      X 28-5284      2050                600
                                                              47,103       1,448       X        28-11135     1448
MANPOWER INC                 COM            56418H100          5,591          96       X        28-5284        96
                                                             495,972       8,516       X        28-11135     8516
MANTECH INTL CORP            CL A           564563104         76,270       1,585       X        28-11135     1585
MANULIFE FINL CORP           COM            56501R106      4,165,269     120,002       X        28-5284    119698                304
                                                           2,095,269      60,365       X      X 28-5284     60365
MARATHON OIL CORP            COM            565849106      9,249,718     178,325       X        28-5284    170203               8122
                                                           4,567,205      88,051       X      X 28-5284     78951      5200     3900
                                                           1,793,094      34,569       X        28-11135    34569
                                                             267,597       5,159       X        28-4580      4893                266
                                                              20,852         402       X      X 28-4580       402
MARINEMAX INC                COM            567908108         22,227       3,100       X      X 28-5284      3100
MARINE PETE TR               UNIT BEN INT   568423107         16,725         500       X        28-5284       500
MARINER ENERGY INC           COM            56845T305        173,759       4,700       X        28-5284      4700
                                                           1,079,524      29,200       X      X 28-5284     29200
                                                              96,011       2,597       X        28-11135     2597
MARKEL CORP                  COM            570535104         16,148          44       X        28-5284        44
                                                             346,448         944       X      X 28-5284       534                410
MARKETAXESS HLDGS INC        COM            57060D108         26,460       3,500       X      X 28-5284      3500
MARKET VECTORS ETF TR        GOLD MINER ETF 57060U100         46,161         950       X        28-5284       950
                                                             388,720       8,000       X        28-4580      2200               5800
                                                             714,273      14,700       X      X 28-4580     14700
MARKET VECTORS ETF TR        MV ENVIR SVCS  57060U209          5,023          96       X      X 28-5284        96
   COLUMN TOTAL                                           29,077,426







                                                                                                                    FILE NO. 28-1235
PAGE 134 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
MARKET VECTORS ETF TR        MV STEEL INDEX 57060U308         62,540         590       X      X 28-5284       590
MARKET VECTORS ETF TR        GBL ALTER ENRG 57060U407         31,916         623       X        28-5284       623
                                                              89,089       1,739       X      X 28-5284      1739
MARKET VECTORS ETF TR        RUSSIA ETF     57060U506          2,421          45       X        28-5284        45
MARKET VECTORS ETF TR        AGRIBUS ETF    57060U605         89,518       1,445       X        28-5284      1445
                                                              21,683         350       X      X 28-5284       200                150
                                                               6,195         100       X      X 28-4580       100
MARKET VECTORS ETF TR        NUC ENERGY ETF 57060U704         39,444       1,153       X      X 28-5284      1153
MARKET VECTORS ETF TR        COAL ETF       57060U837         11,600         200       X      X 28-5284                          200
MARSH & MCLENNAN COS INC     COM            571748102      1,280,241      48,220       X        28-5284     47220               1000
                                                           1,044,052      39,324       X      X 28-5284     38274               1050
                                                              63,720       2,400       X        28-4580      2400
                                                             143,476       5,404       X      X 28-4580      5404
MARSHALL & ILSLEY CORP NEW   COM            571837103         10,762         702       X        28-5284       631                 71
                                                             366,218      23,889       X      X 28-5284       569              23320
                                                               5,749         375       X        28-11135      375
MARRIOTT INTL INC NEW        CL A           571903202     10,131,448     386,107       X        28-5284    379507               6600
                                                          10,619,827     404,719       X      X 28-5284    399719       450     4550
                                                               2,886         110       X        28-11135      110
                                                             894,364      34,084       X        28-4580     33824                260
                                                             172,134       6,560       X      X 28-4580      6560
MARTEK BIOSCIENCES CORP      COM            572901106         53,026       1,573       X        28-5284       920                653
                                                               5,057         150       X      X 28-5284       150
MARTHA STEWART LIVING OMNIME CL A           573083102          3,700         500       X        28-4580       500
MARTIN MARIETTA MATLS INC    COM            573284106        132,595       1,280       X        28-5284      1280
                                                             449,995       4,344       X      X 28-5284      4344
MARTIN MIDSTREAM PRTNRS L P  UNIT L P INT   573331105          9,839         300       X        28-5284       300
MARVEL ENTERTAINMENT INC     COM            57383T103          4,821         150       X      X 28-5284       150
   COLUMN TOTAL                                           25,748,316







                                                                                                                    FILE NO. 28-1235
PAGE 135 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
MASCO CORP                   COM            574599106      4,549,147     289,202       X        28-5284    250079              39123
                                                           1,212,783      77,100       X      X 28-5284     69295      2800     5005
                                                              40,678       2,586       X        28-11135     2586
                                                               6,292         400       X      X 28-4580       400
MASSEY ENERGY CORP           COM            576206106        130,688       1,394       X        28-5284       764                630
                                                             128,531       1,371       X      X 28-5284      1296                 75
                                                          14,906,250     159,000       X        28-11439   159000
MASSMUTUAL CORPORATE INVS IN COM            576292106         12,625         448       X        28-5284       448
MASSMUTUAL PARTN INVS        SH BEN INT     576299101         10,550         800       X        28-5284       800
MASTEC INC                   COM            576323109        452,602      42,458       X        28-11135    42458
MASTERCARD INC               CL A           57636Q104     34,720,457     130,764       X        28-5284    122994               7770
                                                          13,089,605      49,298       X      X 28-5284     42788      1261     5249
                                                             880,199       3,315       X        28-4580      3191                124
                                                             341,990       1,288       X      X 28-4580      1288
MATERIAL SCIENCES CORP       COM            576674105            648          80       X        28-5284                           80
MATRIXX INITIATIVES INC      COM            57685L105        447,604      26,867       X        28-5284     26867
MATRIX SVC CO                COM            576853105        250,409      10,859       X        28-11135    10859
MATSUSHITA ELEC INDL         ADR            576879209        103,544       4,834       X        28-5284      4834
                                                              15,979         746       X      X 28-5284       746
MATTEL INC                   COM            577081102        674,151      39,378       X        28-5284     37283               2095
                                                             440,035      25,703       X      X 28-5284     16694      5950     3059
                                                             741,912      43,336       X        28-11135    43336
                                                               2,517         147       X        28-4580       147
MATTHEWS INTL CORP           CL A           577128101        454,818      10,049       X        28-5284     10049
                                                              99,572       2,200       X      X 28-5284      2200
MAX & ERMAS RESTAURANTS INC  COM            577903107            417         107       X        28-5284       107
MAXIMUS INC                  COM            577933104          5,919         170       X        28-5284                          170
MCAFEE INC                   COM            579064106        221,433       6,507       X        28-5284      6507
                                                             224,734       6,604       X        28-11135     6604
   COLUMN TOTAL                                           74,166,089







                                                                                                                    FILE NO. 28-1235
PAGE 136 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
MCCLATCHY CO                 CL A           579489105         52,952       7,810       X        28-5284      3410               4400
                                                               5,234         772       X      X 28-5284       772
MCCORMICK & CO INC           COM VTG        579780107        322,247       9,024       X      X 28-5284      6024               3000
MCCORMICK & CO INC           COM NON VTG    579780206      8,048,961     225,714       X        28-5284    211204              14510
                                                          11,948,097     335,056       X      X 28-5284    259841              75215
                                                               3,423          96       X        28-11135       96
                                                              73,460       2,060       X        28-4580      2060
                                                              67,469       1,892       X      X 28-4580      1892
MCDERMOTT INTL INC           COM            580037109         12,378         200       X        28-5284       200
                                                              81,695       1,320       X      X 28-5284      1320
MCDONALDS CORP               COM            580135101     93,167,334   1,657,192       X        28-5284   1589458              67734
                                                          60,242,485   1,071,549       X      X 28-5284   1027583      6991    36975
                                                             771,338      13,720       X        28-11135    13720
                                                           1,351,585      24,041       X        28-4580     23578                463
                                                             600,486      10,681       X      X 28-4580     10681
MCG CAPITAL CORP             COM            58047P107          3,980       1,000       X      X 28-5284      1000
MCGRATH RENTCORP             COM            580589109          3,295         134       X        28-11135      134
MCGRAW HILL COS INC          COM            580645109     23,427,633     583,939       X        28-5284    580039               3900
                                                          26,524,295     661,124       X      X 28-5284    644362       575    16187
                                                             656,484      16,363       X        28-4580     16363
                                                             124,212       3,096       X      X 28-4580      3096
MCKESSON CORP                COM            58155Q103      1,160,468      20,756       X        28-5284     18856               1900
                                                             150,118       2,685       X      X 28-5284      2685
                                                             133,122       2,381       X        28-11135     2381
MCMORAN EXPLORATION CO       COM            582411104          2,036          74       X      X 28-5284        74
MEADWESTVACO CORP            COM            583334107      1,516,248      63,601       X        28-5284     17601              46000
                                                             331,853      13,920       X      X 28-5284      7629               6291
                                                               8,344         350       X        28-11135      350
MECHANICAL TECHNOLOGY INC    COM NEW        583538202             31          25       X        28-5284        25
MECHEL OAO                   SPONSORED ADR  583840103         30,715         620       X        28-5284       620
                                                              14,862         300       X      X 28-5284       300
   COLUMN TOTAL                                          230,836,840







                                                                                                                    FILE NO. 28-1235
PAGE 137 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
MEDAREX INC                  COM            583916101         99,150      15,000       X        28-5284     15000
                                                              90,557      13,700       X      X 28-5284     13700
                                                             208,658      31,567       X        28-11135    31567
MEDCO HEALTH SOLUTIONS INC   COM            58405U102     31,393,994     665,127       X        28-5284    623800              41327
                                                          35,225,643     746,306       X      X 28-5284    685272      9807    51227
                                                              18,408         390       X        28-11135      390
                                                             522,315      11,066       X        28-4580     10614                452
                                                             214,477       4,544       X      X 28-4580      4544
MEDIA GEN INC                CL A           584404107         13,288       1,112       X        28-5284      1112
MEDICAL NUTRITION USA INC    COM            58461X107      1,715,538     597,332       X        28-5284    597332
MEDICAL PPTYS TRUST INC      COM            58463J304        185,894      18,369       X        28-5284     18369
                                                             259,244      25,617       X      X 28-5284     25617
MEDICINOVA INC               COM NEW        58468P206        738,455     157,118       X      X 28-5284              157118
MEDICINES CO                 COM            584688105          1,427          72       X        28-5284        72
                                                             240,813      12,150       X        28-11135    12150
MEDICURE INC                 COM            58469E101             40       1,000       X        28-5284      1000
MEDICIS PHARMACEUTICAL CORP  CL A NEW       584690309          2,577         124       X        28-5284       124
                                                              60,262       2,900       X      X 28-5284      2900
MEDTRONIC INC                COM            585055106     28,746,194     555,482       X        28-5284    525000              30482
                                                          27,746,073     536,156       X      X 28-5284    463567      1400    71189
                                                              27,324         528       X        28-11135      528
                                                             405,720       7,840       X        28-4580      7840
                                                             678,339      13,108       X      X 28-4580     12447       661
MEMORY PHARMACEUTICALS CORP  COM            58606R403          1,755       4,500       X      X 28-5284      4500
MENS WEARHOUSE INC           COM            587118100         39,259       2,410       X        28-5284      2000                410
                                                               5,490         337       X      X 28-5284       337
MENTOR CORP MINN             COM            587188103          7,233         260       X        28-5284                          260
                                                              95,979       3,450       X      X 28-5284      3350                100
                                                              98,928       3,556       X        28-11135     3556
MENTOR GRAPHICS CORP         COM            587200106          7,126         451       X        28-5284       451
   COLUMN TOTAL                                          128,850,160







                                                                                                                    FILE NO. 28-1235
PAGE 138 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
MERCADOLIBRE INC             COM            58733R102         24,143         700       X        28-5284       700
MERCHANTS BANCSHARES         COM            588448100         22,460       1,000       X      X 28-5284      1000
MERCK & CO INC               COM            589331107     91,139,282   2,418,129       X        28-5284   2336619              81510
                                                         164,969,507   4,377,010       X      X 28-5284   4132050     16732   228228
                                                             477,118      12,659       X        28-11135    12659
                                                           1,708,111      45,320       X        28-4580     43913               1407
                                                           2,628,161      69,731       X      X 28-4580     67605      2126
MERCURY COMPUTER SYS         COM            589378108          1,130         150       X        28-5284                          150
MERCURY GENL CORP NEW        COM            589400100        107,456       2,300       X        28-5284                         2300
MEREDITH CORP                COM            589433101          2,857         101       X        28-5284       101
MERIDIAN BIOSCIENCE INC      COM            589584101        119,202       4,428       X      X 28-5284      4428
                                                              13,783         512       X        28-11135      512
MERIT MED SYS INC            COM            589889104        114,866       7,814       X        28-11135     7814
MERRILL LYNCH & CO INC       COM            590188108      9,836,220     310,193       X        28-5284    266428              43765
                                                           3,268,508     103,075       X      X 28-5284     90745      1050    11280
                                                             160,199       5,052       X        28-11135     5052
                                                              79,275       2,500       X        28-4580      2500
                                                              16,172         510       X      X 28-4580       510
MESA AIR GROUP INC           COM            590479101             83         163       X        28-11135      163
METALICO INC                 COM            591176102          4,380         250       X        28-5284       250
                                                             551,880      31,500       X      X 28-5284     31500
METAVANTE TECHNOLOGIES INC   COM            591407101         69,692       3,081       X        28-5284      3058                 23
                                                             272,254      12,036       X      X 28-5284      4189               7847
METHANEX CORP                COM            59151K108          2,802         100       X        28-5284       100
                                                               5,604         200       X      X 28-5284       200
                                                              12,945         462       X        28-11135      462
METHODE ELECTRS INC          COM            591520200          2,717         260       X        28-5284                          260
                                                                 857          82       X        28-11135       82
   COLUMN TOTAL                                          275,611,664







                                                                                                                    FILE NO. 28-1235
PAGE 139 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
METLIFE INC                  COM            59156R108     29,329,460     555,798       X        28-5284    496246              59552
                                                           8,873,698     168,158       X      X 28-5284    154202      4016     9940
                                                             440,471       8,347       X        28-11135     8347
                                                             479,521       9,087       X        28-4580      8626                461
                                                              96,622       1,831       X      X 28-4580      1831
METROPCS COMMUNICATIONS INC  COM            591708102         12,610         712       X        28-5284       712
                                                                 124           7       X      X 28-5284         7
METTLER TOLEDO INTERNATIONAL COM            592688105         47,525         501       X      X 28-5284       501
                                                               8,348          88       X        28-11135       88
MEXICO EQUITY & INCOME FD    COM            592834105         10,569         409       X        28-5284       409
MEXICO FD INC                COM            592835102          8,597         245       X      X 28-5284                 245
MFS INTERMARKET INCOME TRUST SH BEN INT     59318R103          3,960         500       X        28-5284       500
                                                              89,496      11,300       X      X 28-5284                        11300
MICROS SYS INC               COM            594901100         66,011       2,165       X        28-5284      1525                640
                                                              12,897         423       X        28-11135      423
MICROSOFT CORP               COM            594918104    169,674,115   6,167,725       X        28-5284   5709646             458079
                                                         113,683,479   4,132,442       X      X 28-5284   3700303     38332   393807
                                                           1,526,805      55,500       X        28-11135    55500
                                                           3,296,413     119,826       X        28-4580    118429               1397
                                                           2,666,022      96,911       X      X 28-4580     96751                160
MICROSTRATEGY INC            CL A NEW       594972408          1,036          16       X        28-5284        10                  6
MICROCHIP TECHNOLOGY INC     COM            595017104      2,799,999      91,683       X        28-5284     67498              24185
                                                             815,754      26,711       X      X 28-5284     16501              10210
                                                              10,231         335       X        28-11135      335
                                                               1,435          47       X        28-4580        47
MICRON TECHNOLOGY INC        COM            595112103          3,186         531       X        28-5284       531
                                                               6,000       1,000       X      X 28-5284      1000
                                                               1,080         180       X        28-11135      180
MICROSEMI CORP               COM            595137100         15,108         600       X        28-5284                          600
MID-AMER APT CMNTYS INC      COM            59522J103        158,990       3,115       X        28-5284      3115
                                                              13,526         265       X      X 28-5284       265
   COLUMN TOTAL                                          334,153,088







                                                                                                                    FILE NO. 28-1235
PAGE 140 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
MID PENN BANCORP INC         COM            59540G107         28,300       1,123       X      X 28-5284                         1123
MIDAS GROUP INC              COM            595626102          1,485         110       X        28-5284                          110
                                                               3,254         241       X      X 28-5284       241
MIDCAP SPDR TR               UNIT SER 1     595635103    209,078,731   1,405,099       X        28-5284   1402061               3038
                                                          47,088,950     316,458       X      X 28-5284    289333      1083    26042
                                                           2,853,984      19,180       X        28-4580     18880                300
                                                           1,376,102       9,248       X      X 28-4580      9248
MIDDLEBY CORP                COM            596278101         21,955         500       X      X 28-5284       500
MIDDLESEX WATER CO           COM            596680108         19,560       1,179       X        28-5284      1179
                                                          11,684,884     704,333       X      X 28-5284      4333             700000
MILLER HERMAN INC            COM            600544100         88,857       3,570       X        28-5284      3570
MILLIPORE CORP               COM            601073109        848,386      12,502       X        28-5284      8702               3800
                                                           1,097,636      16,175       X      X 28-5284      8482               7693
MINDRAY MEDICAL INTL LTD     SPON ADR       602675100          3,732         100       X        28-5284       100
                                                              29,856         800       X      X 28-5284       800
MINE SAFETY APPLIANCES CO    COM            602720104      4,087,538     102,214       X        28-5284    102214
                                                          95,951,686   2,399,392       X      X 28-5284      5303            2394089
MINERALS TECHNOLOGIES INC    COM            603158106         50,490         794       X        28-5284                          794
                                                               9,539         150       X      X 28-5284       150
MIRANT CORP NEW              COM            60467R100          5,050         129       X        28-5284       129
                                                                 117           3       X      X 28-5284         3
                                                               2,114          54       X        28-11135       54
                                                                 431          11       X        28-4580        11
MIRANT CORP NEW              *W EXP 01/03/2 60467R118            488          27       X        28-5284        27
                                                                 814          45       X      X 28-5284        45
                                                                 633          35       X        28-4580        35
MITSUBISHI UFJ FINL GROUP IN SPONSORED ADR  606822104         31,381       3,566       X        28-5284      3566
                                                                 475          54       X      X 28-5284        54
                                                             102,406      11,637       X        28-11135    11637
   COLUMN TOTAL                                          374,468,834







                                                                                                                    FILE NO. 28-1235
PAGE 141 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
MITSUI & CO LTD              ADR            606827202         21,604          49       X        28-5284        49
                                                              32,627          74       X        28-11135       74
MIZUHO FINL GROUP INC        SPONSORED ADR  60687Y109          7,824         844       X        28-5284       844
MOBILE MINI INC              COM            60740F105          5,200         260       X        28-5284                          260
                                                               2,600         130       X        28-11135      130
MOBILE TELESYSTEMS OJSC      SPONSORED ADR  607409109         38,305         500       X      X 28-5284                          500
                                                              15,322         200       X      X 28-4580       200
MOHAWK INDS INC              COM            608190104        141,405       2,206       X        28-5284       206               2000
                                                             314,603       4,908       X      X 28-5284      4908
                                                               5,513          86       X        28-11135       86
MOLECULAR INSIGHT PHARM INC  COM            60852M104         16,530       3,000       X        28-5284      3000
MOLINA HEALTHCARE INC        COM            60855R100            876          36       X        28-11135       36
MOLEX INC                    COM            608554101          7,616         312       X        28-5284       312
                                                              36,615       1,500       X      X 28-5284      1500
MOLEX INC                    CL A           608554200          2,910         127       X        28-5284       127
                                                             392,792      17,145       X      X 28-5284     14145               3000
MOLSON COORS BREWING CO      CL B           60871R209     25,251,008     464,771       X        28-5284    435464              29307
                                                           6,235,508     114,771       X      X 28-5284    103168      3804     7799
                                                             173,095       3,186       X        28-4580      3186
                                                               2,717          50       X      X 28-4580        50
MONACO COACH CORP            COM            60886R103            547         180       X        28-5284                          180
MONEYGRAM INTL INC           COM            60935Y109          3,022       3,350       X        28-5284      3350
MONOLITHIC PWR SYS INC       COM            609839105        816,155      37,750       X      X 28-5284     37750
MONOTYPE IMAGING HOLDINGS IN COM            61022P100          9,366         769       X        28-11135      769
MONSANTO CO NEW              COM            61166W101     20,698,860     163,705       X        28-5284    140293              23412
                                                          16,746,852     132,449       X      X 28-5284    121892      1325     9232
                                                             392,343       3,103       X        28-11135     3103
                                                           1,153,259       9,121       X        28-4580      8979                142
                                                             208,373       1,648       X      X 28-4580      1648
   COLUMN TOTAL                                           72,733,447







                                                                                                                    FILE NO. 28-1235
PAGE 142 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
MONSTER WORLDWIDE INC        COM            611742107         38,561       1,871       X        28-5284      1871
                                                                 165           8       X      X 28-5284         8
                                                             258,738      12,554       X        28-11135    12554
MONTGOMERY STR INCOME SECS I COM            614115103        331,056      20,900       X      X 28-5284       600              20300
MOODYS CORP                  COM            615369105      8,444,275     245,188       X        28-5284    234515              10673
                                                           6,210,255     180,321       X      X 28-5284    162528       200    17593
                                                               2,652          77       X        28-11135       77
                                                              84,722       2,460       X        28-4580      2460
                                                             110,621       3,212       X      X 28-4580      3212
MOOG INC                     CL A           615394202         81,928       2,200       X      X 28-5284                         2200
                                                               2,867          77       X        28-11135       77
MORGAN STANLEY EASTN EUR FD  COM            616988101         28,410         937       X        28-5284       937
MORGAN STANLEY EMER MKTS FD  COM            61744G107          8,890         500       X      X 28-5284       500
MORGAN STANLEY EMER MKTS DEB COM            61744H105         49,755       5,350       X      X 28-5284      5350
MORGAN STANLEY HIGH YIELD FD COM            61744M104         19,080       3,600       X      X 28-5284      3600
MORGAN STANLEY ASIA PAC FD I COM            61744U106         46,924       2,686       X      X 28-5284      2686
MORGAN STANLEY               COM NEW        617446448     20,465,361     567,379       X        28-5284    541347              26032
                                                          16,696,911     462,903       X      X 28-5284    441703       950    20250
                                                             547,903      15,190       X        28-11135    15190
                                                              21,642         600       X        28-11439      600
                                                             273,194       7,574       X        28-4580      7574
                                                             199,251       5,524       X      X 28-4580      5524
MORGAN STANLEY INDIA INVS FD COM            61745C105          3,377         150       X      X 28-5284       150
MORGAN STANLEY               MUN PREM INCOM 61745P429         32,160       4,000       X      X 28-5284                         4000
MORGAN STANLEY               CA INSD MUN TR 61745P502         57,135       4,395       X        28-5284      2225               2170
MORGAN STANLEY               QULTY MUN SECS 61745P585         70,510       5,500       X      X 28-5284      5500
MORGAN STANLEY               QLT MUN INV TR 61745P668         18,495       1,500       X      X 28-5284      1500
   COLUMN TOTAL                                           54,104,838







                                                                                                                    FILE NO. 28-1235
PAGE 143 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
MORGAN STANLEY               QUALT MUN INCM 61745P734          1,992         166       X        28-5284                          166
                                                              66,000       5,500       X      X 28-5284      5500
MORGAN STANLEY               INSD MUN INCM  61745P791        439,855      33,500       X        28-5284     33500
MORGAN STANLEY               INSD MUN SECS  61745P833          7,728         545       X        28-4580       545
MORGAN STANLEY               INSD MUN TR    61745P866         44,170       3,500       X        28-5284      3500
MORGAN STANLEY               INCOME SEC INC 61745P874          7,316         496       X        28-5284       496
                                                              85,550       5,800       X      X 28-5284                         5800
MORGAN STANLEY CHINA A SH FD COM            617468103         13,330         366       X      X 28-5284       366
MORNINGSTAR INC              COM            617700109        172,872       2,400       X      X 28-5284      2200                200
MOSAIC CO                    COM            61945A107        163,222       1,128       X        28-5284       128               1000
                                                           1,171,925       8,099       X      X 28-5284      3024               5075
MOTHERS WK INC               COM            619903107        302,120      30,002       X        28-5284     30002
MOTOROLA INC                 COM            620076109      7,793,120   1,061,733       X        28-5284    969451              92282
                                                           5,164,431     703,601       X      X 28-5284    662012      7200    34389
                                                             485,570      66,154       X        28-11135    66154
                                                              36,318       4,948       X        28-4580      4948
MOVE INC COM                 COM            62458M108          8,933       3,834       X        28-5284      3834
MUELLER INDS INC             COM            624756102         21,896         680       X        28-5284       400                280
MULTI COLOR CORP             COM            625383104          6,297         300       X        28-5284                          300
MURPHY OIL CORP              COM            626717102      3,727,273      38,014       X        28-5284     36814               1200
                                                           4,172,028      42,550       X      X 28-5284     39650      1200     1700
MYERS INDS INC               COM            628464109          4,792         588       X        28-5284       400                188
MYLAN INC                    COM            628530107        140,676      11,655       X        28-5284      8010               3645
                                                             171,478      14,207       X      X 28-5284     11509               2698
                                                              17,574       1,456       X      X 28-4580      1456
MYRIAD GENETICS INC          COM            62855J104        601,774      13,220       X        28-5284     13220
                                                             623,624      13,700       X      X 28-5284     13700
   COLUMN TOTAL                                           25,451,864







                                                                                                                    FILE NO. 28-1235
PAGE 144 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
NBT BANCORP INC              COM            628778102        279,266      13,550       X        28-5284     13550
                                                             204,389       9,917       X      X 28-5284      9917
NBTY INC                     COM            628782104      2,435,181      75,957       X        28-5284     75957
                                                               1,282          40       X        28-11135       40
NCI BUILDING SYS INC         COM            628852105        166,350       4,529       X        28-11135     4529
NCR CORP NEW                 COM            62886E108        854,708      33,917       X      X 28-5284      3721              30196
                                                               3,125         124       X        28-4580       124
NGP CAP RES CO               COM            62912R107            539          35       X        28-11135       35
NGAS RESOURCES INC           COM            62912T103          4,640         500       X        28-5284       500
NII HLDGS INC                CL B NEW       62913F201          1,235          26       X        28-5284        26
                                                             237,450       5,000       X      X 28-5284                         5000
                                                               2,707          57       X        28-11135       57
NL INDS INC                  COM NEW        629156407          4,765         500       X        28-5284       500
NMS COMMUNICATIONS CORP      COM            629248105        588,700     530,360       X      X 28-5284              530360
NRG ENERGY INC               COM NEW        629377508          2,059          48       X        28-5284        48
                                                              16,602         387       X        28-11135      387
NTT DOCOMO INC               SPONS ADR      62942M201          8,760         600       X        28-5284       600
                                                              15,914       1,090       X      X 28-5284      1090
                                                              64,663       4,429       X        28-11135     4429
NVR INC                      COM            62944T105          1,000           2       X        28-5284         2
NYMEX HOLDINGS INC           COM            62948N104          9,884         117       X        28-5284       117
                                                               8,448         100       X      X 28-5284       100
NYSE EURONEXT                COM            629491101         45,037         889       X        28-5284       889
                                                             189,316       3,737       X      X 28-5284      3727                 10
                                                              49,039         968       X        28-11135      968
                                                               6,991         138       X        28-4580       138
                                                           1,404,346      27,721       X                    27721
NACCO INDS INC               CL A           629579103        854,579      11,494       X      X 28-5284     11494
NALCO HOLDING COMPANY        COM            62985Q101        423,000      20,000       X      X 28-5284     20000
   COLUMN TOTAL                                            7,883,975







                                                                                                                    FILE NO. 28-1235
PAGE 145 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
NAM TAI ELECTRS INC          COM PAR $0.02  629865205        130,800      10,000       X        28-5284     10000
                                                              43,818       3,350       X      X 28-5284      2200      1150
NANOGEN INC                  COM            630075109            285         750       X        28-5284       750
NANOPHASE TCHNOLOGIES CORP   COM            630079101             46          20       X        28-5284        20
NAPSTER INC                  COM            630797108      1,745,193   1,229,009       X      X 28-5284             1229009
NARA BANCORP INC             COM            63080P105         85,840       8,000       X      X 28-5284      8000
NASDAQ PREM INCM & GRW FD IN COM            63110R105          7,880         500       X        28-5284       500
NASDAQ OMX GROUP INC         COM            631103108      3,616,853     136,228       X        28-5284    132876               3352
                                                             502,830      18,939       X      X 28-5284     18459                480
                                                             740,692      27,898       X        28-11135    27898
                                                               9,319         351       X        28-4580       351
NASH FINCH CO                COM            631158102          3,770         110       X        28-5284                          110
NASHUA CORP                  COM            631226107         60,000       6,000       X        28-5284                         6000
NATHANS FAMOUS INC NEW       COM            632347100         68,917       4,534       X      X 28-5284                4534
NATIONAL BK GREECE S A       SPONSORED ADR  633643408         16,762       1,877       X        28-5284      1877
NATIONAL BANKSHARES INC VA   COM            634865109      3,096,277     172,111       X        28-1500    172111
NATIONAL CITY CORP           COM            635405103      1,195,739     250,679       X        28-5284    234695              15984
                                                             890,287     186,643       X      X 28-5284    167222     14988     4433
                                                               3,220         675       X        28-11135      675
                                                              99,044      20,764       X        28-4580     20764
                                                              37,516       7,865       X      X 28-4580      7865
NATIONAL FINL PARTNERS CORP  COM            63607P208          3,092         156       X        28-5284       156
                                                             244,757      12,349       X        28-11135    12349
NATIONAL FUEL GAS CO N J     COM            636180101        695,202      11,688       X        28-5284     10306               1382
                                                             404,464       6,800       X      X 28-5284      6800
NATIONAL GRID PLC            SPON ADR NEW   636274300         49,478         750       X        28-5284       750
                                                              15,371         233       X      X 28-5284       233
   COLUMN TOTAL                                           13,767,452







                                                                                                                    FILE NO. 28-1235
PAGE 146 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
NATIONAL HEALTH INVS INC     COM            63633D104         17,106         600       X      X 28-5284       600
NATIONAL INSTRS CORP         COM            636518102        440,558      15,529       X        28-5284      6170               9359
                                                             425,550      15,000       X      X 28-5284      1600              13400
                                                              11,235         396       X        28-11135      396
NATIONAL OILWELL VARCO INC   COM            637071101      4,597,027      51,815       X        28-5284     47135               4680
                                                           2,538,634      28,614       X      X 28-5284     22305               6309
                                                              80,380         906       X        28-11135      906
                                                             177,440       2,000       X      X 28-4580      2000
NATIONAL PENN BANCSHARES INC COM            637138108        167,833      12,638       X      X 28-5284      4295               8343
NATIONAL PRESTO INDS INC     COM            637215104          3,209          50       X        28-5284                           50
NATIONAL RETAIL PROPERTIES I COM            637417106         58,520       2,800       X        28-5284       400               2400
                                                             453,739      21,710       X      X 28-5284     21710
NATIONAL SEMICONDUCTOR CORP  COM            637640103          9,839         479       X        28-5284       479
                                                             131,600       6,407       X      X 28-5284       407               6000
NATIONWIDE FINL SVCS INC     CL A           638612101         31,014         646       X        28-5284       646
                                                             308,272       6,421       X      X 28-5284      4713               1708
NATIONWIDE HEALTH PPTYS INC  COM            638620104        303,690       9,644       X        28-5284      9644
                                                             310,177       9,850       X      X 28-5284      3400               6450
NATURAL GAS SERVICES GROUP   COM            63886Q109          2,316          76       X        28-11135       76
NAVIGATORS GROUP INC         COM            638904102        287,330       5,316       X        28-11135     5316
NATURAL RESOURCE PARTNERS L  COM UNIT L P   63900P103        230,720       5,600       X        28-5284      5600
                                                             743,578      18,048       X      X 28-5284     13048      5000
NATUS MEDICAL INC DEL        COM            639050103         23,034       1,100       X      X 28-5284      1100
NAUTILUS INC                 COM            63910B102          2,032         400       X      X 28-5284       400
NAVIGANT CONSULTING INC      COM            63935N107         64,548       3,300       X      X 28-5284      3300
NAVTEQ CORP                  COM            63936L100        127,666       1,658       X        28-5284      1658
                                                               1,463          19       X      X 28-5284        19
   COLUMN TOTAL                                           11,548,510







                                                                                                                    FILE NO. 28-1235
PAGE 147 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
NEENAH PAPER INC             COM            640079109          6,617         396       X        28-5284       396
                                                              19,618       1,174       X      X 28-5284      1174
NEOPHARM INC                 COM            640919106             30          57       X      X 28-5284                           57
NESS TECHNOLOGIES INC        COM            64104X108          4,048         400       X        28-5284                          400
                                                              28,336       2,800       X      X 28-5284      2800
NET 1 UEPS TECHNOLOGIES INC  COM NEW        64107N206         14,580         600       X        28-5284       600
NET SERVICOS DE COMUNICACAO  SPONSD ADR NEW 64109T201          1,259         100       X        28-5284       100
NETAPP INC                   COM            64110D104         69,615       3,214       X        28-5284      3214
                                                             146,357       6,757       X      X 28-5284      6757
                                                               6,931         320       X      X 28-4580       320
NETFLIX INC                  COM            64110L106         17,571         674       X      X 28-5284       674
NETGEAR INC                  COM            64111Q104         36,424       2,628       X        28-11135     2628
NETWORK EQUIP TECHNOLOGIES   COM            641208103            675         190       X        28-5284                          190
NEUROMETRIX INC              COM            641255104          5,107       3,648       X        28-5284      3648
NEUBERGER BERMAN INCOME OPP  COM SHS        64126L108         40,000       4,000       X      X 28-5284      4000
NEVADA GOLD & CASINOS INC    COM NEW        64126Q206         31,980      26,000       X        28-5284     26000
NEUSTAR INC                  CL A           64126X201         21,560       1,000       X        28-5284      1000
                                                              30,184       1,400       X      X 28-5284      1400
NEUTRAL TANDEM INC           COM            64128B108      6,683,740     381,928       X        28-5284    381928
NEW AMER HIGH INCOME FD INC  COM            641876107         21,280      13,300       X      X 28-5284                        13300
NEUBERGER BERMAN RE ES SEC F COM            64190A103         16,634       1,779       X        28-5284      1779
NEW FRONTIER MEDIA INC       COM            644398109         86,020      22,000       X      X 28-5284               22000
NEW GERMANY FD INC           COM            644465106          3,688         226       X        28-5284       226
                                                              51,408       3,150       X      X 28-5284                3150
   COLUMN TOTAL                                            7,343,662







                                                                                                                    FILE NO. 28-1235
PAGE 148 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
NEW JERSEY RES               COM            646025106         51,652       1,582       X        28-5284      1237                345
                                                          12,161,146     372,470       X      X 28-5284      7798             364672
NEW YORK CMNTY BANCORP INC   COM            649445103      1,632,574      91,512       X        28-5284     85112               6400
                                                           1,361,727      76,330       X      X 28-5284     72180               4150
                                                               1,766          99       X        28-11135       99
                                                             413,888      23,200       X        28-11439    23200
                                                               4,638         260       X        28-4580       260
NEW YORK TIMES CO            CL A           650111107        611,737      39,749       X        28-5284     23004              16745
                                                             180,771      11,746       X      X 28-5284     10546               1200
NEWALLIANCE BANCSHARES INC   COM            650203102         22,888       1,834       X        28-5284                         1834
NEWCASTLE INVT CORP          COM            65105M108          3,919         559       X        28-5284       559
                                                             218,572      31,180       X      X 28-5284     30180               1000
NEWELL RUBBERMAID INC        COM            651229106      2,503,792     149,124       X        28-5284    140104               9020
                                                           6,130,852     365,149       X      X 28-5284    131285             233864
                                                              12,777         761       X        28-11135      761
                                                               2,334         139       X        28-4580       139
NEWFIELD EXPL CO             COM            651290108        221,328       3,392       X        28-5284      3392
                                                             393,849       6,036       X      X 28-5284      6036
NEWMONT MINING CORP          COM            651639106        928,292      17,797       X        28-5284     15623               2174
                                                           5,924,802     113,589       X      X 28-5284    110860               2729
                                                              10,432         200       X        28-11135      200
                                                             211,248       4,050       X      X 28-4580      4050
NEWPORT CORP                 COM            651824104         10,661         936       X        28-5284       936
                                                               1,230         108       X        28-11135      108
NEWS CORP                    CL A           65248E104     24,872,445   1,653,753       X        28-5284   1559134              94619
                                                           7,899,098     525,206       X      X 28-5284    485372     13010    26824
                                                                 271          18       X        28-11135       18
                                                             474,482      31,548       X        28-4580     31148                400
                                                              68,958       4,585       X      X 28-4580      4585
NEWS CORP                    CL B           65248E203      1,011,795      65,915       X        28-5284     65915
                                                             371,470      24,200       X      X 28-5284     18800               5400
                                                              13,293         866       X        28-11135      866
   COLUMN TOTAL                                           67,728,687







                                                                                                                    FILE NO. 28-1235
PAGE 149 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
NEXEN INC                    COM            65334H102          5,963         150       X      X 28-5284       150
NEXCEN BRANDS INC            COM            653351106          2,800       5,000       X        28-5284      5000
                                                              11,200      20,000       X      X 28-5284               20000
NFJ DIVID INT & PREM STRTGY  COM SHS        65337H109         14,556         685       X        28-5284       685
NICE SYS LTD                 SPONSORED ADR  653656108          1,301          44       X        28-11135       44
NICHOLAS-APPLEGATE CV & INC  COM            65370F101        400,874      33,829       X        28-5284      2229              31600
                                                              31,094       2,624       X      X 28-5284      2624
NICHOLAS APPLEGATE CV&INC FD COM            65370G109         14,784       1,280       X        28-5284      1280
NICHOLAS APPLEGATE EQT CONV  COM            65370K100         75,246       3,808       X        28-5284      3808
NICHOLAS APPLEGATE GLBL EQ C COM            65370L108         39,160       2,000       X        28-5284      2000
NICOR INC                    COM            654086107        151,919       3,567       X        28-5284      2867                700
                                                             221,468       5,200       X      X 28-5284      2900               2300
NIDEC CORP                   SPONSORED ADR  654090109         11,042         664       X        28-5284       664
NIKE INC                     CL B           654106103     48,751,562     817,842       X        28-5284    763355              54487
                                                          24,907,025     417,833       X      X 28-5284    376827      5173    35833
                                                             760,206      12,753       X        28-11135    12753
                                                             636,516      10,678       X        28-4580     10279                399
                                                             273,371       4,586       X      X 28-4580      4586
NIPPON TELEG & TEL CORP      SPONSORED ADR  654624105         35,721       1,470       X        28-5284      1470
                                                               7,047         290       X      X 28-5284       290
                                                             553,384      22,773       X        28-11135    22773
NISOURCE INC                 COM            65473P105         30,751       1,716       X        28-5284      1316                400
                                                             155,008       8,650       X      X 28-5284      8650
                                                              11,988         669       X        28-11135      669
                                                              31,844       1,777       X        28-4580      1777
NISSAN MOTORS                SPONSORED ADR  654744408         17,404       1,058       X        28-5284      1058
                                                               2,040         124       X      X 28-5284       124
   COLUMN TOTAL                                           77,155,274







                                                                                                                    FILE NO. 28-1235
PAGE 150 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
NOKIA CORP                   SPONSORED ADR  654902204     16,422,938     670,324       X        28-5284    656361              13963
                                                          13,212,728     539,295       X      X 28-5284    497645      1025    40625
                                                             562,349      22,953       X        28-11135    22953
                                                             244,657       9,986       X        28-4580      9986
                                                             129,850       5,300       X      X 28-4580      5300
NOBLE ENERGY INC             COM            655044105      1,349,012      13,415       X        28-5284      4515               8900
                                                           1,471,193      14,630       X      X 28-5284     14630
                                                              41,732         415       X        28-11135      415
NOMURA HLDGS INC             SPONSORED ADR  65535H208         28,541       1,935       X        28-5284      1935
                                                               6,682         453       X      X 28-5284       453
                                                              19,824       1,344       X        28-11135     1344
NORAM ENERGY CORP            SDCV  6.000% 3 655419AC3        969,000      10,200       X        28-5284     10200
                                                           1,752,750      18,450       X      X 28-5284     18450
NORDSTROM INC                COM            655664100      7,432,893     245,310       X        28-5284    243735               1575
                                                           6,886,311     227,271       X      X 28-5284    222546       425     4300
                                                             504,495      16,650       X        28-11135    16650
                                                             195,011       6,436       X        28-4580      6436
                                                              20,604         680       X      X 28-4580       680
NORFOLK SOUTHERN CORP        COM            655844108     21,564,559     344,097       X        28-5284    324036       100    19961
                                                          33,990,391     542,371       X      X 28-5284    435056      1000   106315
                                                             130,166       2,077       X        28-11135     2077
                                                             156,675       2,500       X        28-4580      2500
                                                              12,534         200       X      X 28-4580       200
NORTEL NETWORKS CORP NEW     COM NEW        656568508         18,569       2,259       X        28-5284      2259
                                                              14,007       1,704       X      X 28-5284      1704
                                                              30,554       3,717       X        28-11135     3717
NORTH AMERN GALVANZNG & CTNG COM            65686Y109      3,472,305     395,029       X        28-5284                       395029
NORTH EUROPEAN OIL RTY TR    SH BEN INT     659310106        409,690      10,600       X        28-5284     10600
                                                              92,760       2,400       X      X 28-5284      2400
NORTHEAST UTILS              COM            664397106          6,051         237       X        28-5284       237
                                                               6,383         250       X      X 28-5284       250
   COLUMN TOTAL                                          111,155,214







                                                                                                                    FILE NO. 28-1235
PAGE 151 OF 255               FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
NORTHERN TR CORP             COM            665859104     41,986,234     612,312       X        28-5284    572429              39883
                                                          16,567,472     241,614       X      X 28-5284    213512      3467    24635
                                                              19,131         279       X        28-11135      279
                                                             419,100       6,112       X        28-4580      6112
                                                              83,861       1,223       X      X 28-4580      1223
NORTHFIELD LABS INC          COM            666135108            355         500       X        28-5284       500
NORTHRIM BANCORP INC         COM            666762109      3,380,443     186,199       X        28-1500    186199
NORTHROP GRUMMAN CORP        COM            666807102      6,451,903      96,441       X        28-5284     87814               8627
                                                           7,327,490     109,529       X      X 28-5284    101564               7965
                                                             219,231       3,277       X        28-11135     3277
                                                             120,286       1,798       X        28-4580      1798
NORTHSTAR RLTY FIN CORP      COM            66704R100          2,496         300       X        28-5284       300
                                                             199,264      23,950       X      X 28-5284     23950
NORTHWEST AIRLS CORP         COM            667280408          1,945         292       X        28-5284       292
                                                                 306          46       X      X 28-5284        46
NORTHWEST BANCORP INC PA     COM            667328108          6,982         320       X        28-5284       320
                                                              26,730       1,225       X      X 28-5284      1225
NORTHWEST NAT GAS CO         COM            667655104         67,540       1,460       X        28-5284      1230                230
                                                             124,902       2,700       X      X 28-5284      2700
                                                              54,263       1,173       X        28-11135     1173
NORTHWESTERN CORP            COM NEW        668074305         27,835       1,095       X      X 28-5284      1095
NORWOOD FINANCIAL CORP       COM            669549107        131,399       4,531       X        28-5284      4531
                                                               7,598         262       X      X 28-5284       262
NOVA CHEMICALS CORP          COM            66977W109        146,787       5,950       X        28-5284      5950
NOVARTIS A G                 SPONSORED ADR  66987V109      8,662,305     157,382       X        28-5284    144632              12750
                                                           4,197,460      76,262       X      X 28-5284     52167              24095
                                                             137,270       2,494       X        28-11135     2494
NOVELL INC                   COM            670006105          3,534         600       X        28-5284       600
NOVEN PHARMACEUTICALS INC    COM            670009109          1,710         160       X        28-5284                          160
   COLUMN TOTAL                                           90,375,832







                                                                                                                    FILE NO. 28-1235
PAGE 152 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
NOVO-NORDISK A S             ADR            670100205      1,045,968      15,848       X        28-5284     15848
                                                           3,006,960      45,560       X      X 28-5284     45560
NSTAR                        COM            67019E107         62,263       1,841       X        28-5284      1841
                                                             305,395       9,030       X      X 28-5284      1030               8000
NTELOS HLDGS CORP            COM            67020Q107         11,594         457       X        28-11135      457
NUANCE COMMUNICATIONS INC    COM            67020Y100        458,661      29,270       X        28-5284     29270
                                                             317,662      20,272       X      X 28-5284        75              20197
                                                             238,591      15,226       X        28-11135    15226
NUCOR CORP                   COM            670346105      1,696,652      22,722       X        28-5284     22722
                                                           1,378,931      18,467       X      X 28-5284     18399                 68
NUMEREX CORP PA              CL A           67053A102      2,094,531     289,700       X      X 28-5284    289700
NUSTAR ENERGY LP             UNIT COM       67058H102        138,474       2,922       X        28-5284      2922
                                                             302,064       6,374       X      X 28-5284      4874               1500
NUVEEN PA PREM INCOME MUN FD COM            67061F101        272,720      22,860       X        28-5284     22860
                                                             227,696      19,086       X      X 28-5284     19086
NUVEEN MD PREM INCOME MUN FD COM            67061Q107         37,619       2,988       X      X 28-5284      2988
NUVEEN SELECT MAT MUN FD     SH BEN INT     67061T101         27,262       2,799       X      X 28-5284      2300                499
NUVEEN ARIZ PREM INCOME MUN  COM            67061W104         55,392       4,442       X      X 28-5284      4442
NUVEEN INVT QUALITY MUN FD I COM            67062E103         23,796       1,800       X        28-5284      1800
                                                              72,406       5,477       X      X 28-5284      5477
NUVEEN SELECT TAX FREE INCM  SH BEN INT     67062F100        143,064      10,150       X      X 28-5284     10150
NUVEEN MUN ADVANTAGE FD INC  COM            67062H106        104,640       8,000       X        28-5284      8000
                                                               3,924         300       X      X 28-5284       300
NUVEEN MUN INCOME FD INC     COM            67062J102         84,240       8,000       X        28-5284      8000
                                                              83,924       7,970       X      X 28-5284      7970
NUVEEN INSD QUALITY MUN FD I COM            67062N103         33,132       2,533       X        28-5284      2533
NUVEEN PERFORMANCE PLUS MUN  COM            67062P108        142,636      10,972       X      X 28-5284     10972
   COLUMN TOTAL                                           12,370,197







                                                                                                                    FILE NO. 28-1235
PAGE 153 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
NUVEEN PREM INCOME MUN FD    COM            67062T100         19,260       1,500       X        28-5284      1500
                                                              51,360       4,000       X      X 28-5284      4000
NUVEEN MUN MKT OPPORTUNITY F COM            67062W103        136,211      10,700       X        28-5284     10700
                                                             330,980      26,000       X      X 28-5284     26000
NUVEEN SELECT TAX FREE INCM  SH BEN INT     67063C106        130,720       9,500       X      X 28-5284      8500               1000
NUVEEN PREM INCOME MUN FD 2  COM            67063W102         40,679       3,270       X      X 28-5284      3270
NUVEEN SELECT TAX FREE INCM  SH BEN INT     67063X100         13,940       1,000       X      X 28-5284      1000
NUVEEN TAX FREE ADV MUN FD   COM            670657105        192,803      14,453       X      X 28-5284     14453
NVIDIA CORP                  COM            67066G104     17,274,629     922,790       X        28-5284    877051              45739
                                                           6,944,184     370,950       X      X 28-5284    348557      7767    14626
                                                             284,862      15,217       X        28-11135    15217
                                                             379,492      20,272       X        28-4580     19747                525
                                                              50,095       2,676       X      X 28-4580      2676
NUVEEN DIVID ADVANTAGE MUN F COM            67066V101         25,920       2,000       X      X 28-5284      2000
NUVEEN MUN HIGH INC OPP FD   COM            670682103         16,654       1,100       X        28-5284      1100
                                                              99,924       6,600       X      X 28-5284      6600
NUTRI SYS INC NEW            COM            67069D108          1,258          89       X      X 28-5284        89
NUVEEN PA DIV ADVANTAGE MUN  COM            67070E103         56,915       4,395       X        28-5284      4395
                                                              16,965       1,310       X      X 28-5284      1310
NUVEEN DIV ADV MUNI FD 3     COM SH BEN INT 67070X101            157          12       X        28-11135       12
NUVEEN REAL ESTATE INCOME FD COM            67071B108         18,470       1,248       X      X 28-5284      1248
NUVEEN INSD DIVID ADVANTAGE  COM            67071L106         45,419       3,510       X      X 28-5284      3510
NUVEEN QUALITY PFD INCOME FD COM            67071S101         91,599       9,693       X      X 28-5284      9693
NUVEEN NEW JERSEY DIVID      COM            67071T109         44,220       3,300       X        28-5284      3300
NUVEEN GA DIV ADV MUN FD 2   COM            67072B107        417,414      31,888       X      X 28-5284     31888
   COLUMN TOTAL                                           26,684,130







                                                                                                                    FILE NO. 28-1235
PAGE 154 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
NUVEEN QUALITY PFD INCOME FD COM            67072C105         10,020       1,000       X        28-5284      1000
                                                              33,607       3,354       X      X 28-5284      3354
NXSTAGE MEDICAL INC          COM            67072V103         19,200       5,000       X        28-5284      5000
NUVEEN MULTI STRAT INC & GR  COM            67073B106         22,261       2,314       X        28-5284      2314
                                                              38,480       4,000       X      X 28-5284      4000
NUVEEN MULTI STRAT INC GR FD COM SHS        67073D102         10,136       1,027       X        28-5284      1027
                                                              17,253       1,748       X      X 28-5284      1748
O CHARLEYS INC               COM            670823103          1,610         160       X        28-5284                          160
OGE ENERGY CORP              COM            670837103        239,601       7,556       X        28-5284      7442                114
                                                             226,409       7,140       X      X 28-5284      7140
OM GROUP INC                 COM            670872100        106,994       3,263       X        28-5284       680               2583
NUVEEN MUN VALUE FD INC      COM            670928100      3,083,420     320,189       X        28-5284    320189
                                                             440,833      45,777       X      X 28-5284     44677               1100
                                                              11,094       1,152       X        28-4580      1152
NUVEEN NJ INVT QUALITY MUN F COM            670971100         68,202       5,320       X        28-5284      5320
                                                              12,820       1,000       X      X 28-5284      1000
NUVEEN PA INVT QUALITY MUN F COM            670972108        334,290      26,571       X        28-5284     26571
                                                             237,617      18,887       X      X 28-5284     18887
NUVEEN SELECT QUALITY MUN FD COM            670973106         82,680       6,000       X        28-5284      6000
NUVEEN QUALITY INCOME MUN FD COM            670977107        173,483      13,243       X        28-5284     13243
                                                              78,168       5,967       X      X 28-5284      5967
NUVEEN INSD MUN OPPORTUNITY  COM            670984103         67,029       5,180       X      X 28-5284      5180
NUVEEN PREMIER MUN INCOME FD COM            670988104         49,360       4,000       X        28-5284      4000
NUVEEN NJ PREM INCOME MUN FD COM            67101N106        249,368      19,138       X        28-5284     19138
OSI PHARMACEUTICALS INC      COM            671040103          2,314          56       X        28-5284        56
                                                              63,385       1,534       X      X 28-5284      1534
OYO GEOSPACE CORP            COM            671074102        167,979       2,850       X      X 28-5284      2850
   COLUMN TOTAL                                            5,847,613







                                                                                                                    FILE NO. 28-1235
PAGE 155 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
OBAGI MEDICAL PRODUCTS INC   COM            67423R108         42,750       5,000       X      X 28-5284      5000
OCCIDENTAL PETE CORP DEL     COM            674599105     33,929,519     377,582       X        28-5284    345362              32220
                                                          10,986,823     122,266       X      X 28-5284    110815      3311     8140
                                                             778,637       8,665       X        28-11135     8665
                                                             560,906       6,242       X        28-4580      6242
                                                              92,556       1,030       X      X 28-4580      1030
OCEANEERING INTL INC         COM            675232102         33,902         440       X        28-5284                          440
                                                             870,665      11,300       X      X 28-5284     10900                400
                                                              10,017         130       X        28-11135      130
OCEANFIRST FINL CORP         COM            675234108         72,669       4,026       X      X 28-5284      4026
OCWEN FINL CORP              NOTE  3.250% 8 675746AD3      1,299,781       1,730       X        28-11439     1730
OCWEN FINL CORP              COM NEW        675746309        542,860     116,744       X        28-11135   116744
ODYSSEY HEALTHCARE INC       COM            67611V101         88,634       9,100       X        28-5284                         9100
ODYSSEY RE HLDGS CORP        COM            67612W108         37,666       1,061       X        28-5284                         1061
OFFICEMAX INC DEL            COM            67622P101          5,393         388       X        28-5284       388
OFFICE DEPOT INC             COM            676220106         53,704       4,909       X        28-5284       709               4200
                                                               2,188         200       X      X 28-5284       200
OIL SVC HOLDRS TR            DEPOSTRY RCPT  678002106        111,005         500       X        28-5284       500
                                                             249,983       1,126       X      X 28-5284       600                526
OIL STS INTL INC             COM            678026105         97,951       1,544       X        28-11135     1544
OLD LINE BANCSHARES INC      COM            67984M100        201,300      30,000       X      X 28-5284     30000
OLD MUTUAL CLAYMORE LNG SHT  COM            68003N103         11,907         900       X        28-5284       900
OLD NATL BANCORP IND         COM            680033107          7,130         500       X        28-5284       500
OLD REP INTL CORP            COM            680223104        475,814      40,187       X        28-5284     32162               8025
                                                           2,255,958     190,537       X      X 28-5284    187947               2590
                                                               9,259         782       X        28-11135      782
                                                               3,694         312       X        28-4580       312
   COLUMN TOTAL                                           52,832,671







                                                                                                                    FILE NO. 28-1235
PAGE 156 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
OLIN CORP                    COM PAR $1     680665205            445          17       X        28-5284        17
                                                             328,795      12,559       X      X 28-5284     12559
OMNICARE INC                 COM            681904108      9,113,417     347,575       X        28-5284    313737              33838
                                                             826,926      31,538       X      X 28-5284     25583      1100     4855
OMNICOM GROUP INC            COM            681919106     33,014,356     735,614       X        28-5284    699628              35986
                                                          21,608,374     481,470       X      X 28-5284    453956      7651    19863
                                                              42,232         941       X        28-11135      941
                                                             489,820      10,914       X        28-4580     10730                184
                                                             119,381       2,660       X      X 28-4580       660      2000
OMEGA HEALTHCARE INVS INC    COM            681936100        389,943      23,420       X        28-5284     23420
                                                              20,147       1,210       X      X 28-5284      1210
OMRIX BIOPHARMACEUTICALS INC COM            681989109          9,444         600       X      X 28-5284       600
                                                             240,019      15,249       X        28-11135    15249
OMEGA FLEX INC               COM            682095104         32,239       2,121       X        28-5284      2121
                                                               2,280         150       X      X 28-5284       150
OMNITURE INC                 COM            68212S109         18,570       1,000       X        28-5284      1000
OMNOVA SOLUTIONS INC         COM            682129101            751         270       X        28-5284                          270
OMNICELL INC                 COM            68213N109         19,770       1,500       X      X 28-5284      1500
OMNICARE CAP TR I            PIERS          68214Q200      3,734,582     100,000       X        28-11439   100000
ON ASSIGNMENT INC            COM            682159108          1,764         220       X        28-5284                          220
ON SEMICONDUCTOR CORP        COM            682189105          2,788         304       X        28-5284       304
                                                              55,020       6,000       X      X 28-5284      6000
                                                                 660          72       X        28-11135       72
ONEOK PARTNERS LP            UNIT LTD PARTN 68268N103        212,420       3,800       X        28-5284      3800
                                                             162,110       2,900       X      X 28-5284      2900
ONEOK INC NEW                COM            682680103        294,152       6,024       X        28-5284      1099               4925
                                                             710,477      14,550       X      X 28-5284     12050               2500
                                                               3,174          65       X        28-11135       65
ONLINE RES CORP              COM            68273G101          3,816         457       X        28-5284       457
   COLUMN TOTAL                                           71,457,872







                                                                                                                    FILE NO. 28-1235
PAGE 157 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
ONSTREAM MEDIA CORP          COM            682875109          1,738       2,172       X        28-5284      2172
ONVIA INC                    COM NEW        68338T403         22,735       4,389       X      X 28-5284                4389
ONYX PHARMACEUTICALS INC     COM            683399109          3,560         100       X        28-5284       100
                                                              17,800         500       X      X 28-5284       500
OPEN JT STK CO-VIMPEL COMMUN SPONSORED ADR  68370R109        342,804      11,550       X        28-5284     11550
OPKO HEALTH INC              COM            68375N103          9,120       6,000       X      X 28-5284      6000
OPLINK COMMUNICATIONS INC    COM NEW        68375Q403         68,621       7,148       X      X 28-5284                7148
OPPENHEIMER HLDGS INC        CL A NON VTG   683797104         19,782         700       X        28-5284       700
OPTICAL CABLE CORP           COM NEW        683827208        253,177      36,376       X      X 28-5284               36376
ORACLE CORP                  COM            68389X105     79,546,278   3,787,918       X        28-5284   3572960             214958
                                                          42,546,084   2,026,004       X      X 28-5284   1859649     22929   143426
                                                           1,796,466      85,546       X        28-11135    85546
                                                           1,425,837      67,897       X        28-4580     66223               1674
                                                             572,628      27,268       X      X 28-4580     27268
OPTIONSXPRESS HLDGS INC      COM            684010101          4,468         200       X        28-5284       200
                                                              16,978         760       X      X 28-5284       760
OPTIUM CORP                  COM            68402T107          1,099         151       X        28-5284       151
ORASURE TECHNOLOGIES INC     COM            68554V108          3,740       1,000       X      X 28-5284      1000
ORBITAL SCIENCES CORP        NOTE  2.438% 1 685564AN6        231,000       2,000       X        28-4580      2000
ORBITAL SCIENCES CORP        COM            685564106          7,068         300       X        28-5284       300
                                                              23,560       1,000       X      X 28-5284      1000
O REILLY AUTOMOTIVE INC      COM            686091109         66,380       2,970       X        28-5284      2970
                                                               2,235         100       X      X 28-5284       100
                                                             150,416       6,730       X        28-11135     6730
ORIGEN FINL INC              COM            68619E208            744         499       X        28-5284       499
ORITANI FINL CORP            COM            686323106         35,488       2,218       X        28-5284      2218
   COLUMN TOTAL                                          127,169,806







                                                                                                                    FILE NO. 28-1235
PAGE 158 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
ORIX CORP                    SPONSORED ADR  686330101         23,731         329       X        28-5284       329
                                                                 289           4       X      X 28-5284         4
                                                             229,229       3,178       X        28-11135     3178
ORTHOLOGIC CORP              COM            68750J107        325,377     325,377       X      X 28-5284              325377
OSCIENT PHARMACEUTICALS CORP COM NEW        68812R303            182         128       X        28-5284       128
OSHKOSH CORP                 COM            688239201      4,483,523     216,700       X        28-5284    196843              19857
                                                             749,619      36,231       X      X 28-5284     10231              26000
                                                             218,817      10,576       X        28-11135    10576
OSTEOTECH INC                COM            688582105            740         130       X        28-5284                          130
OTELCO INC                   INCME DEP SECS 688823202          1,618         100       X      X 28-5284       100
OVERSEAS SHIPHOLDING GROUP I COM            690368105         44,531         560       X      X 28-5284       560
OVERSTOCK COM INC DEL        COM            690370101          5,190         200       X      X 28-5284       200
OWENS & MINOR INC NEW        COM            690732102         14,621         320       X        28-5284                          320
                                                              13,707         300       X      X 28-5284       300
OWENS CORNING NEW            COM            690742101          5,733         252       X        28-5284       252
                                                               4,550         200       X      X 28-5284                          200
OWENS ILL INC                COM NEW        690768403     16,641,105     399,163       X        28-5284    375460              23703
                                                           5,590,796     134,104       X      X 28-5284    122845      2909     8350
                                                                 750          18       X        28-11135       18
                                                             273,653       6,564       X        28-4580      6564
                                                              79,628       1,910       X      X 28-4580      1910
OXFORD INDS INC              COM            691497309          2,490         130       X        28-5284                          130
                                                              44,045       2,300       X      X 28-5284      2300
OXIGENE INC                  COM            691828107          2,500       2,000       X        28-5284      2000
PCM FUND INC                 COM            69323T101        128,270      12,700       X      X 28-5284                        12700
PC-TEL INC                   COM            69325Q105          1,247         130       X        28-5284                          130
   COLUMN TOTAL                                           28,885,941







                                                                                                                    FILE NO. 28-1235
PAGE 159 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
PDL BIOPHARMA INC            COM            69329Y104            797          75       X        28-5284        75
PG&E CORP                    COM            69331C108        335,182       8,445       X        28-5284      7945                500
                                                             195,275       4,920       X      X 28-5284      4920
PHC INC MASS                 CL A           693315103          9,065       3,500       X      X 28-5284      3500
PHH CORP                     COM NEW        693320202          4,743         309       X      X 28-5284       309
P F CHANGS CHINA BISTRO INC  COM            69333Y108          4,468         200       X        28-5284                          200
                                                              72,605       3,250       X      X 28-5284      3250
PGT INC                      COM            69336V101          3,440       1,000       X        28-5284      1000
PICO HLDGS INC               COM NEW        693366205          5,996         138       X        28-5284                          138
                                                             217,250       5,000       X      X 28-5284      5000
PMC-SIERRA INC               COM            69344F106          1,528         200       X        28-5284       200
                                                               7,640       1,000       X      X 28-5284      1000
                                                                 520          68       X        28-11135       68
PMI GROUP INC                COM            69344M101          3,650       1,872       X        28-5284                         1872
                                                             120,516      61,803       X      X 28-5284     61803
PNC FINL SVCS GROUP INC      COM            693475105     84,531,011   1,480,403       X        28-5284   1416269      5965    58169
                                                         139,357,975   2,440,595       X      X 28-5284   1606311     21291   812993
                                                           7,218,639     126,421       X        28-4580    122746               3675
                                                           5,216,942      91,365       X      X 28-4580     88140               3225
PNC FINL SVCS GROUP INC      PFD A CV $1.80 693475204              0          27       X      X 28-5284        27
PNC FINL SVCS GROUP INC      PFD C CV $1.60 693475402         92,030       1,000       X      X 28-5284      1000
PNC FINL SVCS GROUP INC      PFD CV D $1.80 693475501         95,316       1,014       X        28-5284      1014
                                                               2,350          25       X      X 28-5284        25
POSCO                        SPONSORED ADR  693483109        536,121       4,131       X        28-5284       131               4000
                                                             166,638       1,284       X      X 28-5284      1284
PNM RES INC                  COM            69349H107      1,141,690      95,459       X        28-5284     88104               7355
                                                             135,327      11,315       X      X 28-5284     10315               1000
   COLUMN TOTAL                                          239,476,714







                                                                                                                    FILE NO. 28-1235
PAGE 160 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
PPG INDS INC                 COM            693506107     26,019,246     453,534       X        28-5284    437693              15841
                                                          32,633,605     568,827       X      X 28-5284    550050      2150    16627
                                                              83,703       1,459       X        28-11135     1459
                                                             239,061       4,167       X        28-4580      4167
                                                             986,248      17,191       X      X 28-4580     17191
PPL CORP                     COM            69351T106     21,787,704     416,830       X        28-5284    409477       900     6453
                                                          32,090,905     613,945       X      X 28-5284    593936       744    19265
                                                              14,427         276       X        28-11135      276
                                                              94,818       1,814       X        28-4580      1814
                                                              73,178       1,400       X      X 28-4580      1400
PSS WORLD MED INC            COM            69366A100         14,670         900       X        28-5284       900
                                                             191,525      11,750       X      X 28-5284     11750
PACCAR INC                   COM            693718108         39,697         949       X        28-5284       949
                                                              62,745       1,500       X      X 28-5284      1500
                                                             307,032       7,340       X        28-11135     7340
PACER INTL INC TENN          COM            69373H106          1,785          83       X        28-5284        83
                                                           1,694,988      78,800       X      X 28-5284     78800
PACHOLDER HIGH YIELD FD INC  COM            693742108         14,980       1,807       X        28-5284      1807
                                                              20,725       2,500       X      X 28-5284      2500
PACIFIC CAP BANCORP NEW      COM            69404P101         20,670       1,500       X      X 28-5284                         1500
PACIFIC ETHANOL INC          COM            69423U107             45          25       X        28-5284        25
                                                                  33          18       X        28-4580        18
PACIFIC MERCANTILE BANCORP   COM            694552100         31,360       4,000       X        28-4580                         4000
PACKAGING CORP AMER          COM            695156109        123,467       5,740       X        28-5284                         5740
                                                               4,302         200       X      X 28-5284       200
PACTIV CORP                  COM            695257105         72,416       3,411       X        28-5284      3411
                                                              27,726       1,306       X      X 28-5284      1306
                                                              16,942         798       X        28-11135      798
                                                              14,882         701       X        28-4580       701
   COLUMN TOTAL                                          116,682,885







                                                                                                                    FILE NO. 28-1235
PAGE 161 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
PACWEST BANCORP DEL          COM            695263103            833          56       X        28-5284        56
PALL CORP                    COM            696429307        171,060       4,311       X        28-5284      4311
                                                              39,680       1,000       X      X 28-5284      1000
                                                                 595          15       X        28-11135       15
PALM INC NEW                 COM            696643105          5,390       1,000       X        28-5284      1000
                                                              54,105      10,038       X      X 28-5284     10010                 28
PAN AMERICAN SILVER CORP     COM            697900108         17,290         500       X        28-5284       500
                                                              34,580       1,000       X      X 28-5284      1000
PANERA BREAD CO              CL A           69840W108        955,639      20,658       X        28-5284     17958               2700
                                                             641,164      13,860       X      X 28-5284     10305               3555
PAPA JOHNS INTL INC          COM            698813102         54,935       2,066       X        28-5284      2066
                                                              39,885       1,500       X        28-4580      1500
PAR PHARMACEUTICAL COS INC   COM            69888P106            958          59       X        28-5284        59
PARAGON SHIPPING INC         CL A           69913R309         11,753         700       X      X 28-5284       700
                                                             251,330      14,969       X        28-11135    14969
PARAMETRIC TECHNOLOGY CORP   COM NEW        699173209        128,242       7,693       X        28-5284      7693
                                                                  17           1       X        28-11135        1
PAREXEL INTL CORP            COM            699462107         11,050         420       X        28-5284                          420
                                                             246,656       9,375       X        28-11135     9375
PARK ELECTROCHEMICAL CORP    COM            700416209         16,847         693       X        28-5284       533                160
                                                               1,920          79       X        28-11135       79
PARK NATL CORP               COM            700658107        123,970       2,300       X        28-5284      2300
PARKE BANCORP INC            COM            700885106        214,940      21,494       X      X 28-5284     21494
PARKER DRILLING CO           COM            701081101          7,007         700       X      X 28-5284       700
PARKER HANNIFIN CORP         COM            701094104        463,009       6,492       X        28-5284      6492
                                                           1,272,064      17,836       X      X 28-5284     15136               2700
                                                             156,547       2,195       X        28-11135     2195
   COLUMN TOTAL                                            4,921,466







                                                                                                                    FILE NO. 28-1235
PAGE 162 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
PARKVALE FINL CORP           COM            701492100         48,377       2,049       X      X 28-4580      2049
PARKWAY PPTYS INC            COM            70159Q104          4,587         136       X        28-5284       136
                                                               1,214          36       X        28-11135       36
PATRIOT COAL CORP            COM            70336T104        314,245       2,050       X        28-5284      1603                447
                                                             506,930       3,307       X      X 28-5284      3003                304
                                                              41,388         270       X      X 28-4580       270
PATTERSON COMPANIES INC      COM            703395103        177,075       6,025       X        28-5284      6025
                                                             375,075      12,762       X      X 28-5284      4762               8000
                                                              17,605         599       X        28-11135      599
PATTERSON UTI ENERGY INC     COM            703481101      1,339,375      37,071       X        28-5284     31642               5429
                                                             241,746       6,691       X      X 28-5284      6306                385
                                                              11,345         314       X        28-11135      314
PAYCHEX INC                  COM            704326107      8,704,223     278,268       X        28-5284    269868               8400
                                                           2,271,898      72,631       X      X 28-5284     58908              13723
                                                               2,190          70       X        28-11135       70
                                                               1,376          44       X        28-4580        44
                                                              26,275         840       X      X 28-4580       840
PEABODY ENERGY CORP          COM            704549104      7,161,899      81,339       X        28-5284     53064              28275
                                                           6,050,004      68,711       X      X 28-5284     49401      3520    15790
                                                             136,478       1,550       X      X 28-4580      1550
PEAPACK-GLADSTONE FINL CORP  COM            704699107         44,160       2,010       X        28-5284      2010
                                                              26,584       1,210       X      X 28-5284      1210
PEARSON PLC                  SPONSORED ADR  705015105          5,059         413       X        28-5284       413
PECO II INC                  COM NEW        705221208        365,363     109,390       X      X 28-5284              109390
PEDIATRIX MED GROUP          COM            705324101         18,707         380       X        28-5284                          380
PEERLESS SYS CORP            COM            705536100          9,200       5,000       X      X 28-5284                         5000
PEETS COFFEE & TEA INC       COM            705560100         13,874         700       X        28-5284       700
PENGROWTH ENERGY TR          TR UNIT NEW    706902509         71,270       3,544       X        28-5284      3544
                                                             998,602      49,657       X      X 28-5284     49657
   COLUMN TOTAL                                           28,986,124







                                                                                                                    FILE NO. 28-1235
PAGE 163 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
PENFORD CORP                 COM            707051108          1,190          80       X        28-5284                           80
PENN NATL GAMING INC         COM            707569109         51,440       1,600       X        28-5284      1600
                                                              35,365       1,100       X      X 28-5284       400                700
                                                               3,408         106       X        28-11135      106
PENN VA GP HLDGS L P         COM UNIT R LIM 70788P105      1,143,673      34,900       X      X 28-5284     34900
PENN VA CORP                 COM            707882106        377,100       5,000       X        28-5284      5000
PENN VA RESOURCES PARTNERS L COM            707884102         60,930       2,250       X        28-5284      2250
                                                              13,540         500       X      X 28-5284       500
PENN WEST ENERGY TR          TR UNIT        707885109        155,732       4,602       X        28-5284      4602
                                                             535,924      15,837       X      X 28-5284     12337      3500
PENNEY J C INC               COM            708160106        800,630      22,062       X        28-5284     22062
                                                             758,679      20,906       X      X 28-5284     20706                200
                                                             153,724       4,236       X        28-11135     4236
                                                              58,318       1,607       X        28-4580      1607
                                                              53,709       1,480       X      X 28-4580      1480
PENNSYLVANIA COMM BANCORP IN COM            708677109         90,236       3,752       X        28-5284      3752
PENNSYLVANIA RL ESTATE INVT  SH BEN INT     709102107        539,532      23,316       X        28-5284     23316
                                                           1,265,920      54,707       X      X 28-5284     51707               3000
PENSON WORLDWIDE INC         COM            709600100          3,585         300       X      X 28-5284       300
PENTAIR INC                  COM            709631105        180,808       5,163       X        28-5284      5070                 93
                                                           1,001,572      28,600       X      X 28-5284     12900              15700
PEOPLES UNITED FINANCIAL INC COM            712704105         45,240       2,900       X        28-5284      2900
                                                             326,056      20,901       X      X 28-5284                        20901
                                                                 250          16       X        28-11135       16
PEP BOYS MANNY MOE & JACK    COM            713278109          2,965         340       X        28-5284                          340
   COLUMN TOTAL                                            7,659,526







                                                                                                                    FILE NO. 28-1235
PAGE 164 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
PEPCO HOLDINGS INC           COM            713291102        687,446      26,801       X        28-5284     25798               1003
                                                           1,351,909      52,706       X      X 28-5284     47347               5359
                                                              94,956       3,702       X        28-4580      3702
                                                             148,462       5,788       X      X 28-4580      5788
PEPSI BOTTLING GROUP INC     COM            713409100        154,509       5,534       X        28-5284      5534
                                                                  56           2       X      X 28-5284         2
                                                             105,370       3,774       X        28-11135     3774
PEPSIAMERICAS INC            COM            71343P200        281,885      14,251       X        28-5284     10791               3460
                                                             121,172       6,126       X      X 28-5284      5476                650
PEPSICO INC                  COM            713448108    145,071,047   2,281,350       X        28-5284   2173443             107907
                                                         110,337,871   1,735,145       X      X 28-5284   1592573      7192   135380
                                                             327,361       5,148       X        28-11135     5148
                                                           2,583,980      40,635       X        28-4580     40445                190
                                                           1,347,218      21,186       X      X 28-4580     20430       756
PERICOM SEMICONDUCTOR CORP   COM            713831105          2,820         190       X        28-5284                          190
PERKINELMER INC              COM            714046109        297,577      10,685       X        28-5284     10685
                                                             175,734       6,310       X      X 28-5284      4010               2300
                                                              23,840         856       X        28-11135      856
PERMIAN BASIN RTY TR         UNIT BEN INT   714236106          7,923         300       X        28-5284       300
                                                              96,687       3,661       X      X 28-5284      3661
PEROT SYS CORP               CL A           714265105        399,026      26,584       X        28-11135    26584
PERRIGO CO                   COM            714290103        457,139      14,389       X        28-11135    14389
P T TELEKOMUNIKASI INDONESIA SPONSORED ADR  715684106          5,515         171       X        28-5284       171
                                                              40,538       1,257       X      X 28-5284      1257
                                                              10,481         325       X        28-11135      325
PETRO-CDA                    COM            71644E102          5,575         100       X        28-5284       100
                                                               5,575         100       X      X 28-4580       100
PETROCHINA CO LTD            SPONSORED  ADR 71646E100        113,397         880       X        28-5284       880
                                                             486,447       3,775       X      X 28-5284      3775
                                                               3,866          30       X        28-11135       30
                                                              35,437         275       X        28-4580       275
   COLUMN TOTAL                                          264,780,819







                                                                                                                    FILE NO. 28-1235
PAGE 165 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
PETROBRAS ENERGIA PARTCPTNS  SP ADR B SHS   71646M102          6,000         500       X        28-5284       500
                                                              75,228       6,269       X      X 28-5284      4269               2000
PETROHAWK ENERGY CORP        COM            716495106         35,288         762       X        28-5284       762
                                                              46,310       1,000       X      X 28-5284      1000
PETROLEO BRASILEIRO SA PETRO SP ADR NON VTG 71654V101          5,679          98       X        28-5284        98
                                                               1,739          30       X      X 28-5284        30
PETROLEO BRASILEIRO SA PETRO SPONSORED ADR  71654V408        233,668       3,299       X        28-5284      3299
                                                             325,110       4,590       X      X 28-5284      4390                200
                                                             247,409       3,493       X        28-11135     3493
PETROLEUM & RES CORP         COM            716549100        185,083       4,246       X        28-5284      4246
                                                              28,246         648       X      X 28-5284       648
PETSMART INC                 COM            716768106        250,772      12,570       X        28-5284     12570
                                                             330,532      16,568       X      X 28-5284      8783               7785
PFIZER INC                   COM            717081103    101,032,784   5,783,216       X        28-5284   5490377             292839
                                                         111,333,602   6,372,845       X      X 28-5284   5594185     74372   704288
                                                           1,249,140      71,502       X        28-11135    71502
                                                           1,275,100      72,988       X        28-4580     72988
                                                           1,875,632     107,363       X      X 28-4580    106107      1256
PFSWEB INC                   COM NEW        717098206      1,445,292     304,272       X      X 28-5284              304272
PHARMACEUTICAL HLDRS TR      DEPOSITRY RCPT 71712A206         20,241         300       X        28-5284       300
                                                               6,747         100       X      X 28-5284       100
PHARMACEUTICAL PROD DEV INC  COM            717124101      1,299,055      30,281       X        28-5284     19988              10293
                                                             632,346      14,740       X      X 28-5284     11230               3510
                                                               5,577         130       X        28-11135      130
PHARMOS CORP                 COM PAR $.03   717139307        137,349     352,178       X      X 28-5284              352178
PHARMERICA CORP              COM            71714F104          1,491          66       X        28-5284        66
                                                               1,762          78       X      X 28-5284        78
PHILADELPHIA CONS HLDG CORP  COM            717528103         17,155         505       X        28-5284        45                460
                                                                  68           2       X      X 28-5284         2
                                                              14,947         440       X        28-11135      440
   COLUMN TOTAL                                          222,119,352







                                                                                                                    FILE NO. 28-1235
PAGE 166 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
PHILIP MORRIS INTL INC       COM            718172109     59,648,204   1,207,698       X        28-5284   1177920              29778
                                                         209,155,340   4,234,771       X      X 28-5284   4169131      2624    63016
                                                             688,101      13,932       X        28-11135    13932
                                                           2,775,916      56,204       X        28-4580     54104               2100
                                                           2,096,803      42,454       X      X 28-4580     42454
PHILIPPINE LONG DISTANCE TEL SPONSORED ADR  718252604            641          12       X        28-11135       12
PHILLIPS VAN HEUSEN CORP     COM            718592108          2,747          75       X        28-5284        75
                                                               2,930          80       X        28-11135       80
PHOENIX COS INC NEW          COM            71902E109          8,554       1,124       X        28-5284      1124
                                                                 875         115       X      X 28-5284       115
PHOENIX TECHNOLOGY LTD       COM            719153108          1,980         180       X        28-5284                          180
PHOTON DYNAMICS INC          COM            719364101          1,508         100       X        28-5284                          100
PHOTRONICS INC               COM            719405102          3,112         442       X        28-5284       152                290
PIEDMONT NAT GAS INC         COM            720186105        316,170      12,086       X        28-5284     11576                510
                                                               5,232         200       X      X 28-5284                          200
PIMCO MUNICIPAL INCOME FD    COM            72200R107         18,852       1,200       X        28-5284      1200
                                                               7,855         500       X      X 28-5284       500
PIMCO CORPORATE INCOME FD    COM            72200U100        278,475      19,750       X        28-5284      2450              17300
                                                              39,480       2,800       X      X 28-5284      2800
PIMCO MUN INCOME FD II       COM            72200W106         16,080       1,200       X        28-5284      1200
                                                             234,500      17,500       X      X 28-5284      4500              13000
PIMCO STRATEGIC GBL GOV FD I COM            72200X104         85,838       8,750       X        28-5284      8750
                                                                 981         100       X      X 28-5284       100
PIMCO MUN INCOME FD III      COM            72201A103         16,620       1,200       X        28-5284      1200
PIMCO CORPORATE OPP FD       COM            72201B101        124,650       9,000       X      X 28-5284      9000
PIMCO FLOATING RATE INCOME F COM            72201H108        572,000      40,000       X        28-5284       400              39600
PIMCO HIGH INCOME FD         COM SHS        722014107        433,829      36,243       X        28-5284      1043              35200
                                                              47,880       4,000       X      X 28-5284      4000
   COLUMN TOTAL                                          276,585,153







                                                                                                                    FILE NO. 28-1235
PAGE 167 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
PIMCO INCOME OPPORTUNITY FD  COM            72202B100         55,375       2,500       X      X 28-5284      2500
PINNACLE AIRL CORP           COM            723443107            449         142       X        28-11135      142
PINNACLE WEST CAP CORP       COM            723484101         79,540       2,585       X        28-5284      2585
                                                             217,544       7,070       X      X 28-5284      7070
PIONEER HIGH INCOME TR       COM            72369H106            112           8       X        28-5284         8
PIONEER FLOATING RATE TR     COM            72369J102         11,705         850       X      X 28-5284       850
PIONEER NAT RES CO           COM            723787107        198,205       2,532       X        28-5284      2532
                                                             704,677       9,002       X      X 28-5284      6602               2400
                                                              20,040         256       X        28-11135      256
PIPER JAFFRAY COS            COM            724078100         11,439         390       X        28-5284       390
                                                                 264           9       X      X 28-5284         9
PIPEX PHARM INC              COM NEW        724153200            152         200       X      X 28-5284       200
PITNEY BOWES INC             COM            724479100      8,235,764     241,518       X        28-5284    225918              15600
                                                          11,664,348     342,063       X      X 28-5284    332538               9525
                                                               1,705          50       X        28-11135       50
                                                             391,434      11,479       X        28-4580     10879                600
                                                             140,526       4,121       X      X 28-4580      4121
PIXELWORKS INC               COM NEW        72581M305          1,232         700       X      X 28-5284       700
PLAINS ALL AMERN PIPELINE L  UNIT LTD PARTN 726503105         46,508       1,031       X        28-5284      1031
                                                           1,057,378      23,440       X      X 28-5284     22440      1000
                                                               8,616         191       X        28-11135      191
PLAINS EXPL& PRODTN CO       COM            726505100        237,444       3,254       X        28-5284      3254
                                                              38,163         523       X      X 28-5284       523
                                                               3,284          45       X        28-11135       45
PLANAR SYS INC               COM            726900103            234          90       X        28-5284                           90
PLANTRONICS INC NEW          COM            727493108         21,092         945       X        28-5284       945
PLEXUS CORP                  COM            729132100        161,928       5,850       X        28-5284      5850
PLUG POWER INC               COM            72919P103          4,442       1,890       X      X 28-5284      1890
   COLUMN TOTAL                                           23,313,600







                                                                                                                    FILE NO. 28-1235
PAGE 168 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
PLUM CREEK TIMBER CO INC     COM            729251108        815,547      19,095       X        28-5284     19095
                                                           3,041,123      71,204       X      X 28-5284     51204       500    19500
                                                              14,222         333       X        28-11135      333
                                                              85,420       2,000       X      X 28-4580      2000
POLARIS INDS INC             COM            731068102         11,306         280       X        28-5284                          280
                                                               2,019          50       X      X 28-5284                           50
POLO RALPH LAUREN CORP       CL A           731572103         31,390         500       X        28-5284                          500
                                                               6,278         100       X      X 28-5284       100
POLYCOM INC                  COM            73172K104          2,436         100       X        28-5284       100
POLYONE CORP                 COM            73179P106          4,043         580       X        28-5284                          580
POOL CORPORATION             COM            73278L105        343,656      19,350       X      X 28-5284                        19350
POPULAR INC                  COM            733174106         17,819       2,704       X        28-5284      2704
PORTFOLIO RECOVERY ASSOCS IN COM            73640Q105            825          22       X        28-5284        22
PORTLAND GEN ELEC CO         COM NEW        736508847         24,029       1,067       X        28-5284                         1067
PORTUGAL TELECOM SGPS S A    SPONSORED ADR  737273102         23,031       2,049       X        28-5284      2049
POST PPTYS INC               COM            737464107        133,786       4,497       X        28-5284      4497
                                                              64,855       2,180       X      X 28-5284      2180
                                                               1,012          34       X        28-11135       34
POTASH CORP SASK INC         COM            73755L107      7,108,070      31,098       X        28-5284     28896               2202
                                                           3,060,095      13,388       X      X 28-5284      9538               3850
                                                              13,028          57       X        28-11135       57
                                                             319,312       1,397       X        28-4580      1397
                                                              65,828         288       X      X 28-4580       288
POTLATCH CORP NEW            COM            737630103          1,534          34       X        28-5284        34
                                                              18,048         400       X      X 28-5284       400
POWER-ONE INC                COM            739308104          1,890       1,000       X        28-5284      1000
   COLUMN TOTAL                                           15,210,602







                                                                                                                    FILE NO. 28-1235
PAGE 169 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
POWERSHARES QQQ TRUST        UNIT SER 1     73935A104     12,774,166     282,802       X        28-5284    281523               1279
                                                           4,924,885     109,030       X      X 28-5284    105555               3475
                                                             148,383       3,285       X        28-4580      3285
                                                             184,158       4,077       X      X 28-4580      4077
POWERSHARES DB CMDTY IDX TRA UNIT BEN INT   73935S105         47,870       1,069       X        28-5284      1069
                                                              88,037       1,966       X      X 28-5284      1966
                                                              89,426       1,997       X      X 28-4580      1997
POWERSHARES ETF TRUST        WILDERHILL PRO 73935X161         58,580       2,000       X        28-5284      2000
POWERSHARES ETF TRUST        CLEANTECH PORT 73935X278         10,295         310       X        28-5284       310
POWERSHARES ETF TRUST        GOLDEN DRG USX 73935X401         54,166       2,185       X      X 28-5284      2185
POWERSHARES ETF TRUST        WNDRHLL CLN EN 73935X500        103,029       5,270       X        28-5284      5270
                                                             251,706      12,875       X      X 28-5284     12175                700
POWERSHARES ETF TRUST        WATER RESOURCE 73935X575        107,174       5,175       X        28-5284      5175
                                                             795,471      38,410       X      X 28-5284     34810               3600
POWERSHARES ETF TRUST        FTSE RAFI 1000 73935X583      4,326,508      88,840       X        28-5284     88840
                                                           4,835,472      99,291       X      X 28-5284     19291              80000
                                                             348,254       7,151       X        28-4580      7151
                                                             108,552       2,229       X      X 28-4580      2229
POWERSHARES ETF TRUST        DYNM LRG CP GR 73935X609         48,538       2,867       X        28-5284      2867
POWERSHARES ETF TRUST        DYN OIL SVCS   73935X625         12,410         370       X      X 28-5284       370
POWERSHARES ETF TRUST        DYN BLDG CNSTR 73935X666         13,184         800       X      X 28-5284       800
POWERSHARES ETF TRUST        VAL LINE TIME  73935X682         16,960       1,000       X        28-5284      1000
POWERSHARES ETF TRUST        DYNM LRG CP VL 73935X708         45,309       2,544       X        28-5284      2544
POWERSHARES ETF TRUST        INTL DIV ACHV  73935X716         58,032       3,318       X        28-5284      3318
                                                              62,299       3,562       X      X 28-5284      2562               1000
                                                              19,239       1,100       X      X 28-4580      1100
POWERSHARES ETF TRUST        DYN SFTWR PORT 73935X773          8,705         500       X        28-5284       500
   COLUMN TOTAL                                           29,540,808







                                                                                                                    FILE NO. 28-1235
PAGE 170 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
POWERSHARES ETF TRUST        DYNM MC GRWTH  73935X807         15,086         692       X        28-5284       692
                                                              26,160       1,200       X      X 28-5284      1200
POWERSHARES ETF TRUST        DYN BIOT & GEN 73935X856         18,479       1,075       X        28-5284      1075
POWERSHARES ETF TRUST        DYNM SM CP VAL 73935X864          8,430         581       X        28-5284       581
POWERSHARES ETF TRUST        DYNM SM CP GRW 73935X872         11,939         786       X        28-5284       786
POWERSHARES ETF TRUST        DYMN MC VAL    73935X880         11,337         718       X        28-5284       718
POWERSHARES DB G10 CURCY HAR COM UT BEN INT 73935Y102          9,457         350       X        28-5284       350
POWERSHS DB MULTI SECT COMM  DB ENERGY FUND 73936B101          5,455         100       X        28-5284       100
POWERSHS DB MULTI SECT COMM  DB AGRICULT FD 73936B408        860,382      21,150       X        28-5284     21150
POWERSHS DB US DOLLAR INDEX  DOLL INDX BULL 73936D107          6,747         300       X        28-5284       300
                                                               9,941         442       X      X 28-5284       442
POWERSHS DB US DOLLAR INDEX  DOLL INDX BEAR 73936D206         39,905       1,355       X        28-5284      1355
POWERSHARES GLOBAL ETF TRUST GBL CLEAN ENER 73936T615        208,240       7,600       X      X 28-5284      7600
POWERSHARES GLOBAL ETF TRUST GBL WTR PORT   73936T623        300,162      13,961       X      X 28-5284      7461               6500
POWERWAVE TECHNOLOGIES INC   COM            739363109         21,250       5,000       X        28-5284      5000
POWERSHARES ETF TR II        GLB NUCLR ENRG 73937B100          2,750         100       X      X 28-4580       100
POZEN INC                    COM            73941U102          3,264         300       X      X 28-5284       300
PRAXAIR INC                  COM            74005P104     61,830,487     656,096       X        28-5284    621910              34186
                                                          26,724,014     283,574       X      X 28-5284    259707      2894    20973
                                                             515,587       5,471       X        28-11135     5471
                                                           1,358,187      14,412       X        28-4580     14063                349
                                                             674,381       7,156       X      X 28-4580      7156
PRE PAID LEGAL SVCS INC      COM            740065107          3,250          80       X        28-5284                           80
   COLUMN TOTAL                                           92,664,890







                                                                                                                    FILE NO. 28-1235
PAGE 171 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
PRECISION CASTPARTS CORP     COM            740189105     23,104,997     239,753       X        28-5284    220600              19153
                                                           9,972,271     103,479       X      X 28-5284     96945      1715     4819
                                                           1,303,115      13,522       X        28-11135    13522
                                                             453,614       4,707       X        28-4580      4415                292
                                                              97,719       1,014       X      X 28-4580      1014
PRECISION DRILLING TR        TR UNIT        740215108         62,652       2,300       X        28-5284      1500                800
                                                              37,864       1,390       X      X 28-5284      1390
PRESIDENTIAL LIFE CORP       COM            740884101          2,159         140       X        28-5284                          140
PRESSTEK INC                 COM            741113104         14,880       3,000       X      X 28-5284                3000
PRESTIGE BRANDS HLDGS INC    COM            74112D101          1,535         144       X        28-5284       144
                                                           1,172,600     110,000       X      X 28-5284    110000
                                                             162,448      15,239       X        28-11135    15239
                                                              63,960       6,000       X        28-4580                         6000
PRICE T ROWE GROUP INC       COM            74144T108     13,020,288     230,570       X        28-5284    209920              20650
                                                          34,976,445     619,381       X      X 28-5284    578403              40978
                                                              29,477         522       X        28-11135      522
                                                           1,274,528      22,570       X      X 28-4580     22570
PRICELINE COM INC            COM NEW        741503403        289,574       2,508       X        28-5284                         2508
                                                               7,851          68       X      X 28-5284        68
PRIDE INTL INC DEL           COM            74153Q102          4,729         100       X        28-5284       100
                                                               4,729         100       X      X 28-5284       100
                                                               2,081          44       X        28-11135       44
PRINCIPAL FINANCIAL GROUP IN COM            74251V102        299,792       7,143       X        28-5284      7143
                                                             568,190      13,538       X      X 28-5284      7138               6400
PROCTER & GAMBLE CO          COM            742718109    498,768,424   8,202,079       X        28-5284   7941466      1050   259563
                                                         371,687,200   6,112,271       X      X 28-5284   5171879     30579   909813
                                                           1,600,580      26,321       X        28-11135    26321
                                                           7,296,531     119,989       X        28-4580    119553                436
                                                           4,367,192      71,817       X      X 28-4580     71517       300
PRIVATEBANCORP INC           COM            742962103         42,532       1,400       X      X 28-5284      1400
   COLUMN TOTAL                                          970,689,957







                                                                                                                    FILE NO. 28-1235
PAGE 172 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
PROGENICS PHARMACEUTICALS IN COM            743187106            794          50       X        28-5284        50
                                                              33,327       2,100       X      X 28-5284      2100
PROGRESS ENERGY INC          COM            743263105      1,758,784      42,046       X        28-5284     30086              11960
                                                           1,800,112      43,034       X      X 28-5284     33100               9934
                                                             779,126      18,626       X        28-11135    18626
                                                             154,771       3,700       X        28-4580      3700
PROGRESS SOFTWARE CORP       COM            743312100          8,438         330       X        28-5284                          330
                                                              56,254       2,200       X        28-11135     2200
PROGRESSIVE CORP OHIO        COM            743315103      1,463,979      78,204       X        28-5284     54504              23700
                                                             943,806      50,417       X      X 28-5284     10376      4360    35681
PROLOGIS                     SH BEN INT     743410102      3,969,778      73,041       X        28-5284     70956               2085
                                                           1,407,176      25,891       X      X 28-5284     24931                960
PROSHARES TR                 ULTRA QQQ PSHS 74347R206         44,010         600       X      X 28-5284       600
PROSHARES TR                 ULTRASHRT O&G  74347R586         76,471       2,863       X        28-5284      2863
                                                               9,349         350       X      X 28-5284       350
PROSHARES TR                 ULTRASHRT FINL 74347R628      2,741,025      17,500       X        28-5284     17500
                                                           3,132,600      20,000       X      X 28-5284     20000
                                                               7,832          50       X      X 28-4580        50
PROSHARES TR                 ULTRA FINL PRO 74347R743         68,476       3,400       X        28-5284      3400
PROSHARES TR                 ULTSHT RUS2000 74347R834         23,640         300       X      X 28-5284       300
PROSHARES TR                 ULTRASHT DOW30 74347R867         63,130         978       X        28-5284       978
PROSHARES TR                 ULTRASHORT QQQ 74347R875         22,415         500       X      X 28-5284       500
PROSHARES TR                 ULTRASHT SP500 74347R883      4,145,207      62,175       X        28-5284     62175
                                                           2,026,768      30,400       X      X 28-5284     30400
PROTECTION ONE INC           COM NEW        743663403          8,400       1,000       X      X 28-5284                1000
PROTECTIVE LIFE CORP         COM            743674103        232,980       6,123       X        28-5284      3523               2600
                                                             271,563       7,137       X      X 28-5284      4387               2750
                                                               2,283          60       X        28-11135       60
   COLUMN TOTAL                                           25,252,494







                                                                                                                    FILE NO. 28-1235
PAGE 173 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
PROVIDENT BANKSHARES CORP    COM            743859100         10,948       1,716       X        28-5284       911                805
                                                              44,851       7,030       X      X 28-5284      7030
PROVIDENT ENERGY TR          TR UNIT        74386K104        212,141      18,560       X        28-5284     18560
                                                             297,466      26,025       X      X 28-5284     26025
PROVIDENT FINL SVCS INC      COM            74386T105         87,647       6,256       X      X 28-5284      6256
PROXIM WIRELESS CORP         COM            744285107        311,723     519,538       X      X 28-5284              519538
PRUDENTIAL FINL INC          COM            744320102      1,287,337      21,549       X        28-5284     21480                 69
                                                             727,155      12,172       X      X 28-5284      7889        33     4250
                                                              20,610         345       X        28-11135      345
                                                              15,114         253       X        28-4580       253
                                                              10,455         175       X      X 28-4580       175
PRUDENTIAL PLC               ADR            74435K204         11,077         522       X        28-5284       522
                                                             397,005      18,709       X        28-11135    18709
PSYCHIATRIC SOLUTIONS INC    COM            74439H108          1,060          28       X        28-11135       28
PUBLIC SVC ENTERPRISE GROUP  COM            744573106      8,966,087     195,212       X        28-5284    195212
                                                          37,799,885     822,989       X      X 28-5284    292769             530220
                                                             820,356      17,861       X        28-11135    17861
                                                              65,404       1,424       X        28-4580      1424
                                                             576,330      12,548       X      X 28-4580     12548
PUBLIC STORAGE               COM            74460D109      1,246,024      15,423       X        28-5284     14823                600
                                                             268,465       3,323       X      X 28-5284      1570               1753
                                                              67,944         841       X        28-4580       841
PUBLIC STORAGE               COM A DP1/1000 74460D729         26,286       1,011       X        28-5284      1011
                                                              13,156         506       X      X 28-5284       506
                                                                 416          16       X        28-4580        16
PUGET ENERGY INC NEW         COM            745310102         77,920       3,248       X        28-5284      3204                 44
                                                             116,735       4,866       X      X 28-5284      4866
                                                               3,023         126       X        28-11135      126
PULTE HOMES INC              COM            745867101        114,703      11,911       X        28-5284       227              11684
PURE BIOSCIENCE              COM            746218106          8,000       2,000       X        28-5284      2000
   COLUMN TOTAL                                           53,605,323







                                                                                                                    FILE NO. 28-1235
PAGE 174 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
PUTNAM MANAGED MUN INCOM TR  COM            746823103         90,624      12,800       X        28-5284     12800
                                                              13,587       1,919       X      X 28-5284      1919
PUTNAM PREMIER INCOME TR     SH BEN INT     746853100         15,544       2,582       X        28-5284      2582
                                                             491,160      81,588       X      X 28-5284     16188              65400
PUTNAM MASTER INTER INCOME T SH BEN INT     746909100          9,290       1,538       X        28-5284      1538
                                                             330,273      54,681       X      X 28-5284                        54681
PUTNAM MUN OPPORTUNITIES TR  SH BEN INT     746922103          5,622         521       X        28-5284       521
                                                               8,093         750       X      X 28-5284       750
QLOGIC CORP                  COM            747277101         66,720       4,573       X        28-5284      4313                260
                                                              25,533       1,750       X      X 28-5284       400               1350
                                                             256,536      17,583       X        28-11135    17583
QC HLDGS INC                 COM            74729T101          1,239         159       X        28-5284       159
QUAKER CHEM CORP             COM            747316107        108,773       4,080       X        28-5284      4000                 80
                                                              39,990       1,500       X      X 28-5284      1500
QUALCOMM INC                 COM            747525103     39,652,005     893,667       X        28-5284    822560              71107
                                                          24,053,953     542,122       X      X 28-5284    443135      5761    93226
                                                               2,529          57       X        28-11135       57
                                                           1,030,759      23,231       X        28-4580     22727                504
                                                             185,467       4,180       X      X 28-4580      4002                178
QUALSTAR CORP                COM            74758R109        209,091      68,780       X      X 28-5284               68780
QUALITY SYS INC              COM            747582104         14,640         500       X        28-5284       500
                                                              21,960         750       X      X 28-5284       750
QUANEX BUILDING PRODUCTS COR COM            747619104         24,995       1,682       X        28-11135     1682
QUANTA SVCS INC              COM            74762E102         13,308         400       X        28-5284       400
QUANTUM CORP                 COM DSSG       747906204            247         183       X        28-11135      183
QUATERRA RES INC             COM            747952109         79,350      25,000       X        28-5284                        25000
   COLUMN TOTAL                                           66,751,288







                                                                                                                    FILE NO. 28-1235
PAGE 175 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
QUEST DIAGNOSTICS INC        COM            74834L100      2,195,643      45,299       X        28-5284     43915               1384
                                                           1,158,918      23,910       X      X 28-5284     21410       300     2200
                                                             113,808       2,348       X        28-11135     2348
                                                              12,118         250       X        28-4580       250
                                                             101,011       2,084       X      X 28-4580      2084
QUEST RESOURCE CORP          COM NEW        748349305          2,282         200       X      X 28-5284       200
QUESTAR CORP                 COM            748356102      3,198,931      45,030       X        28-5284     29794              15236
                                                          10,267,127     144,526       X      X 28-5284    127654              16872
QUICKSILVER RESOURCES INC    COM            74837R104          1,700          44       X        28-5284        44
                                                             135,240       3,500       X      X 28-5284      3500
                                                               2,859          74       X        28-11135       74
QUIKSILVER INC               COM            74838C106          8,740         890       X        28-5284                          890
                                                              19,640       2,000       X      X 28-5284      2000
QWEST COMMUNICATIONS INTL IN COM            749121109         71,526      18,200       X        28-5284     18160                 40
                                                             662,181     168,494       X      X 28-5284     30149             138345
                                                               1,651         420       X        28-4580       420
RCN CORP                     COM NEW        749361200        353,110      32,756       X      X 28-5284               32756
RGC RES INC                  COM            74955L103         23,809         850       X      X 28-5284                          850
R H DONNELLEY CORP           COM NEW        74955W307            270          90       X        28-5284        90
                                                                 120          40       X      X 28-5284        40
RLI CORP                     COM            749607107          7,915         160       X        28-5284                          160
                                                               4,947         100       X      X 28-5284                          100
RPM INTL INC                 COM            749685103        807,520      39,200       X        28-5284      4000              35200
                                                           1,057,089      51,315       X      X 28-5284     20945              30370
                                                              25,853       1,255       X        28-4580      1255
                                                              28,840       1,400       X      X 28-4580      1400
RTI INTL METALS INC          COM            74973W107         11,220         315       X        28-5284       125                190
RF MICRODEVICES INC          COM            749941100            998         344       X        28-5284       344
                                                               1,972         680       X        28-4580       680
RADIAN GROUP INC             COM            750236101          2,545       1,755       X        28-5284       198               1557
   COLUMN TOTAL                                           20,279,583







                                                                                                                    FILE NO. 28-1235
PAGE 176 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
RADIANT SYSTEMS INC          COM            75025N102          1,824         170       X        28-5284                          170
RADIOSHACK CORP              COM            750438103          2,454         200       X        28-5284       200
                                                              73,620       6,000       X      X 28-5284      6000
RADISYS CORP                 COM            750459109          1,540         170       X        28-5284                          170
RAINIER PAC FINL GROUP INC   COM            75087U101         14,325       1,500       X        28-5284      1500
RALCORP HLDGS INC NEW        COM            751028101         10,877         220       X        28-5284                          220
                                                              72,825       1,473       X      X 28-5284      1473
RAMCO-GERSHENSON PPTYS TR    COM SH BEN INT 751452202         30,810       1,500       X        28-5284      1500
RANDGOLD RES LTD             ADR            752344309         33,065         716       X        28-5284       716
RANGE RES CORP               COM            75281A109         55,250         843       X        28-5284       843
                                                              21,169         323       X      X 28-5284       323
                                                              30,607         467       X        28-11135      467
RAVEN INDS INC               COM            754212108        210,284       6,415       X      X 28-5284       615               5800
RAYMOND JAMES FINANCIAL INC  COM            754730109            871          33       X        28-5284        33
                                                              50,141       1,900       X      X 28-5284      1900
                                                               3,747         142       X        28-11135      142
RAYONIER INC                 COM            754907103        279,684       6,587       X        28-5284      3990               2597
                                                             929,110      21,882       X      X 28-5284     10243              11639
RAYTHEON CO                  *W EXP 06/16/2 755111119         98,579       5,045       X        28-5284      5045
                                                               6,878         352       X      X 28-5284                          352
RAYTHEON CO                  COM NEW        755111507      7,904,807     140,455       X        28-5284    133798               6657
                                                          17,934,016     318,657       X      X 28-5284    310106       400     8151
                                                           1,280,370      22,750       X        28-11135    22750
                                                              64,047       1,138       X        28-4580      1138
                                                             250,671       4,454       X      X 28-4580      3404      1050
REALTY INCOME CORP           COM            756109104         99,370       4,366       X        28-5284      4366
                                                             604,506      26,560       X      X 28-5284     26060                500
RED HAT INC                  COM            756577102         93,105       4,500       X        28-5284      4500
                                                              22,759       1,100       X      X 28-5284      1100
   COLUMN TOTAL                                           30,181,311







                                                                                                                    FILE NO. 28-1235
PAGE 177 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
REDDY ICE HLDGS INC          COM            75734R105          5,089         372       X        28-5284       372
                                                               1,655         121       X      X 28-5284       121
REDWOOD TR INC               COM            758075402        268,238      11,770       X      X 28-5284      6875               4895
REED ELSEVIER N V            SPONS ADR NEW  758204200         18,335         547       X        28-5284       547
                                                              14,045         419       X      X 28-5284       419
                                                             365,971      10,918       X        28-11135    10918
REED ELSEVIER P L C          SPONS ADR NEW  758205207         11,160         245       X        28-5284       245
                                                             788,607      17,313       X      X 28-5284     17313
RENEGY HOLDINGS INC          COM            75845J109            406         107       X        28-5284       107
REGAL BELOIT CORP            COM            758750103         10,985         260       X        28-5284                          260
                                                               3,338          79       X        28-11135       79
REGAL ENTMT GROUP            CL A           758766109        288,792      18,900       X        28-5284                        18900
                                                              26,526       1,736       X      X 28-5284      1736
REGENCY CTRS CORP            COM            758849103        857,240      14,500       X        28-5284     14500
                                                              62,667       1,060       X      X 28-5284      1060
REGENERON PHARMACEUTICALS    COM            75886F107          7,220         500       X        28-5284                          500
REGENT COMMUNICATIONS INC DE COM            758865109        233,966     261,123       X      X 28-5284              261123
REGIS CORP MINN              COM            758932107          1,397          53       X        28-5284        53
                                                               2,240          85       X      X 28-5284                           85
REGIONS FINANCIAL CORP NEW   COM            7591EP100      1,380,922     126,574       X        28-5284     70320              56254
                                                           1,047,818      96,042       X      X 28-5284     80742              15300
                                                           2,037,988     186,800       X        28-1500    186800
REHABCARE GROUP INC          COM            759148109          1,924         120       X        28-5284                          120
                                                                 705          44       X        28-11135       44
REINSURANCE GROUP AMER INC   COM            759351109         55,575       1,277       X        28-5284                         1277
                                                              12,795         294       X        28-11135      294
RELIANT ENERGY INC           COM            75952B105         62,959       2,960       X        28-5284      2960
                                                             101,033       4,750       X      X 28-5284      4750
                                                               4,871         229       X        28-11135      229
   COLUMN TOTAL                                            7,674,467







                                                                                                                    FILE NO. 28-1235
PAGE 178 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
RELM WIRELESS CORP           COM            759525108            225         150       X        28-5284       150
RENESOLA LTD                 SPONS ADS      75971T103          5,190         300       X      X 28-5284       300
RENTECH INC                  COM            760112102          1,900       1,000       X        28-5284      1000
REPSOL YPF S A               SPONSORED ADR  76026T205         17,043         434       X        28-5284       434
                                                                 196           5       X      X 28-5284         5
                                                             163,206       4,156       X        28-11135     4156
REPUBLIC BANCORP KY          CL A           760281204         11,956         486       X        28-5284       486
REPUBLIC FIRST BANCORP INC   COM            760416107          7,986       1,100       X        28-5284      1100
                                                              19,675       2,710       X      X 28-4580      2710
REPUBLIC SVCS INC            COM            760759100         78,824       2,654       X        28-5284      2654
                                                               8,910         300       X      X 28-5284       300
RES-CARE INC                 COM            760943100        963,676      54,200       X        28-5284     54200
RESEARCH IN MOTION LTD       COM            760975102        287,457       2,459       X        28-5284      2459
                                                             304,875       2,608       X      X 28-5284      2608
                                                             278,923       2,386       X        28-11135     2386
RESMED INC                   COM            761152107        814,872      22,800       X        28-5284     22800
                                                             377,951      10,575       X      X 28-5284      1450               9125
RESOURCE AMERICA INC         CL A           761195205         21,893       2,349       X        28-5284      2349
                                                              16,841       1,807       X      X 28-5284      1807
RETRACTABLE TECHNOLOGIES INC COM            76129W105      1,225,440     828,000       X      X 28-5284              828000
REVLON INC                   CL A           761525500          9,639      11,340       X      X 28-5284               11340
REYNOLDS AMERICAN INC        COM            761713106        640,919      13,733       X        28-5284      8033               5700
                                                             123,022       2,636       X      X 28-5284      2636
RICKS CABARET INTL INC       COM NEW        765641303          3,360         200       X      X 28-5284       200
RIO TINTO PLC                SPONSORED ADR  767204100        148,995         301       X        28-5284       301
                                                           2,331,450       4,710       X      X 28-5284      1725               2985
                                                                 990           2       X        28-11135        2
   COLUMN TOTAL                                            7,865,414







                                                                                                                    FILE NO. 28-1235
PAGE 179 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
RITCHIE BROS AUCTIONEERS     COM            767744105          9,278         342       X        28-5284                          342
                                                               8,139         300       X      X 28-5284       300
RITE AID CORP                COM            767754104          3,180       2,000       X        28-5284      1000               1000
                                                              11,766       7,400       X      X 28-5284      6800                600
RIVERBED TECHNOLOGY INC      COM            768573107         10,976         800       X      X 28-5284       800
RIVUS BOND FUND              COM            769667106         40,248       2,400       X      X 28-5284                         2400
ROBBINS & MYERS INC          COM            770196103         13,964         280       X        28-5284                          280
ROBERT HALF INTL INC         COM            770323103         39,239       1,637       X        28-5284      1637
                                                               5,873         245       X      X 28-5284       245
ROCKWELL AUTOMATION INC      COM            773903109        846,875      19,366       X        28-5284     19307                 59
                                                             898,564      20,548       X      X 28-5284     20548
                                                              10,933         250       X      X 28-4580       250
ROCKWELL COLLINS INC         COM            774341101      3,687,836      76,894       X        28-5284     73682               3212
                                                           2,824,988      58,903       X      X 28-5284     55398       100     3405
                                                               7,194         150       X        28-4580       150
ROGERS CORP                  COM            775133101          5,639         150       X        28-5284                          150
ROHM & HAAS CO               COM            775371107      2,852,298      61,419       X        28-5284     55284               6135
                                                           4,781,695     102,965       X      X 28-5284     93038               9927
                                                               3,437          74       X        28-11135       74
                                                             199,692       4,300       X      X 28-4580      4300
ROLLINS INC                  COM            775711104         16,006       1,080       X        28-5284      1080
                                                             129,112       8,712       X      X 28-5284      8712
ROPER INDS INC NEW           COM            776696106        790,560      12,000       X        28-5284     12000
                                                           4,071,384      61,800       X      X 28-5284     56600               5200
                                                              22,926         348       X        28-11135      348
                                                             120,429       1,828       X      X 28-4580      1828
ROSS STORES INC              COM            778296103        117,926       3,320       X        28-5284      3320
                                                              64,078       1,804       X      X 28-5284      1804
   COLUMN TOTAL                                           21,594,235







                                                                                                                    FILE NO. 28-1235
PAGE 180 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
ROWAN COS INC                COM            779382100        196,350       4,200       X        28-5284      4200
                                                               4,675         100       X      X 28-5284       100
                                                                 748          16       X        28-11135       16
ROYAL BANCSHARES PA INC      CL A           780081105          5,815         618       X      X 28-5284       618
ROYAL BK CDA MONTREAL QUE    COM            780087102             89           2       X        28-5284         2
                                                             364,061       8,150       X      X 28-5284      4100               4050
ROYAL BK SCOTLAND GROUP PLC  SP ADR PREF T  780097713        216,566      10,590       X        28-5284     10590
ROYAL BK SCOTLAND GROUP PLC  SP ADR REP SHS 780097721         72,651      16,935       X        28-5284     16935
                                                               1,171         273       X      X 28-5284       273
ROYAL BK SCOTLAND GROUP PLC  SP ADR PREF S  780097739         11,172         600       X        28-5284       600
                                                              18,620       1,000       X      X 28-5284      1000
ROYAL BK SCOTLAND GROUP PLC  ADR PREF SHS R 780097747         17,080       1,000       X        28-5284      1000
ROYAL BK SCOTLAND GROUP PLC  ADR PREF SHS Q 780097754          7,512         400       X        28-5284       400
                                                              11,268         600       X      X 28-5284       600
ROYAL BK SCOTLAND GROUP PLC  ADR PFD SER P  780097762         57,222       3,300       X        28-5284      3300
                                                              62,424       3,600       X      X 28-5284      3600
ROYAL BK SCOTLAND GROUP PLC  ADR PREF SER N 780097770         27,150       1,500       X        28-5284      1500
                                                              43,440       2,400       X      X 28-5284      2400
ROYAL BK SCOTLAND GROUP PLC  SPON ADR F     780097804         10,805         500       X        28-5284       500
                                                              28,093       1,300       X      X 28-5284      1300
ROYAL BK SCOTLAND GROUP PLC  SPON ADR SER H 780097879         41,308       2,050       X        28-5284      1050               1000
                                                              20,150       1,000       X      X 28-5284      1000
ROYAL DUTCH SHELL PLC        SPON ADR B     780259107        399,669       4,989       X        28-5284      4472                517
                                                           2,991,307      37,340       X      X 28-5284     37240                100
                                                               4,006          50       X        28-11135       50
                                                             140,273       1,751       X        28-4580      1751
   COLUMN TOTAL                                            4,753,625







                                                                                                                    FILE NO. 28-1235
PAGE 181 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
ROYAL DUTCH SHELL PLC        SPONS ADR A    780259206     32,331,503     395,686       X        28-5284    387488               8198
                                                          47,518,124     581,546       X      X 28-5284    558177              23369
                                                             180,988       2,215       X        28-11135     2215
                                                             757,288       9,268       X        28-4580      9268
                                                             727,464       8,903       X      X 28-4580      8903
ROYAL GOLD INC               COM            780287108         19,475         621       X        28-5284       621
ROYCE VALUE TR INC           COM            780910105         97,498       6,218       X        28-5284      6218
RUBY TUESDAY INC             COM            781182100         33,134       6,136       X      X 28-5284      6136
RUDDICK CORP                 COM            781258108         10,259         299       X        28-11135      299
RUDOLPH TECHNOLOGIES INC     COM            781270103          1,463         190       X        28-5284                          190
RURBAN FINL CORP             COM            78176P108        646,379      67,897       X        28-1500     67897
RUSS BERRIE & CO             COM            782233100            877         110       X        28-5284                          110
RYANAIR HLDGS PLC            SPONSORED ADR  783513104         13,418         468       X        28-5284       468
                                                              43,005       1,500       X      X 28-5284                         1500
RYDER SYS INC                COM            783549108        103,044       1,496       X        28-5284      1496
                                                               9,023         131       X      X 28-5284       131
RYDEX ETF TRUST              S&P 500 EQ TRD 78355W106          4,174         100       X        28-5284       100
RYDEX ETF TRUST              TOP 50 ETF     78355W205      1,641,552      17,600       X      X 28-5284     17600
RYDEX ETF TRUST              INV RUS2000 2X 78355W692         52,740         600       X        28-5284       600
RYDEX ETF TRUST              INV S&P500 2X  78355W767         88,050         904       X        28-5284       904
RYLAND GROUP INC             COM            783764103         62,638       2,872       X        28-5284        25               2847
S & T BANCORP INC            COM            783859101        145,532       5,008       X        28-5284      5008
                                                              15,983         550       X      X 28-5284       150                400
SBA COMMUNICATIONS CORP      COM            78388J106          1,152          32       X        28-11135       32
SAIC INC                     COM            78390X101         50,194       2,412       X        28-5284      2412
                                                             158,156       7,600       X      X 28-5284      3100               4500
   COLUMN TOTAL                                           84,713,113







                                                                                                                    FILE NO. 28-1235
PAGE 182 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
SCPIE HLDGS INC              COM            78402P104          1,959          70       X        28-5284                           70
SEI INVESTMENTS CO           COM            784117103        530,376      22,550       X        28-5284     22550
                                                             239,904      10,200       X      X 28-5284     10200
SJW CORP                     COM            784305104         36,960       1,400       X      X 28-5284      1400
SK TELECOM LTD               SPONSORED ADR  78440P108          1,558          75       X        28-5284        75
SL GREEN RLTY CORP           COM            78440X101      1,126,564      13,619       X        28-5284     13619
                                                             134,337       1,624       X      X 28-5284      1624
                                                               2,482          30       X        28-11135       30
SLM CORP                     COM            78442P106      1,062,818      54,926       X        28-5284     12696              42230
                                                             547,315      28,285       X      X 28-5284      3885              24400
SPDR TR                      UNIT SER 1     78462F103    440,338,098   3,440,679       X        28-5284   3390498      1177    49004
                                                         155,721,329   1,216,763       X      X 28-5284   1141433              75330
                                                             975,720       7,624       X        28-11135     7624
                                                           9,723,025      75,973       X        28-4580     75073                900
                                                           2,043,713      15,969       X      X 28-4580     15969
SPSS INC                     COM            78462K102          5,456         150       X        28-5284                          150
                                                              72,631       1,997       X        28-11135     1997
S1 CORPORATION               COM            78463B101          2,453         324       X        28-11135      324
SPDR GOLD TRUST              GOLD SHS       78463V107      3,362,423      36,788       X        28-5284     36238                550
                                                             593,460       6,493       X      X 28-5284      5793                700
                                                             795,180       8,700       X        28-4580      8700
                                                             913,086       9,990       X      X 28-4580      9990
SPDR INDEX SHS FDS           S&P CHINA ETF  78463X400         43,979         650       X      X 28-5284       650
SPDR INDEX SHS FDS           EMERG MKTS ETF 78463X509         20,976         300       X      X 28-5284       300
SPDR INDEX SHS FDS           MIDEAST AFRICA 78463X806         19,515         300       X        28-5284       300
SPDR INDEX SHS FDS           MSCI ACWI EXUS 78463X848      3,489,351      93,926       X        28-5284     93926
SPDR INDEX SHS FDS           DJWS INTL REAL 78463X863         68,659       1,463       X        28-5284      1463
                                                             227,986       4,858       X      X 28-5284      3508               1350
   COLUMN TOTAL                                          622,101,313







                                                                                                                    FILE NO. 28-1235
PAGE 183 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
SPX CORP                     COM            784635104     28,365,157     215,328       X        28-5284    202727              12601
                                                          12,450,329      94,514       X      X 28-5284     88121      1384     5009
                                                             328,535       2,494       X        28-4580      2494
                                                              51,243         389       X      X 28-4580       389
SPDR SERIES TRUST            MORGAN STN TCH 78464A102      3,521,166      63,425       X        28-5284     62556                869
                                                             494,101       8,900       X      X 28-5284      8700       200
                                                             121,693       2,192       X        28-4580      2192
                                                              10,382         187       X      X 28-4580       187
SPDR SERIES TRUST            DJWS SMCAP VL  78464A300         37,178         641       X      X 28-5284       641
SPDR SERIES TRUST            LEHMN INTL ETF 78464A516         34,713         630       X        28-5284       630
                                                              41,050         745       X      X 28-5284       745
SPDR SERIES TRUST            DJWS REIT ETF  78464A607      1,033,548      15,789       X        28-5284     15489                300
                                                           1,709,684      26,118       X      X 28-5284      8688              17430
                                                             636,729       9,727       X        28-11135     9727
SPDR SERIES TRUST            KBW REGL BKG   78464A698        717,013      26,925       X        28-5284     26925
SPDR SERIES TRUST            S&P OILGAS EXP 78464A730         92,207       1,312       X      X 28-5284                         1312
SPDR SERIES TRUST            S&P METALS MNG 78464A755         18,916         200       X        28-5284       200
SPDR SERIES TRUST            KBW BK ETF     78464A797         31,515       1,100       X        28-5284      1100
SPDR SERIES TRUST            S&P BIOTECH    78464A870         23,044         400       X      X 28-5284                          400
SPDR SERIES TRUST            S&P HOMEBUILD  78464A888         16,430       1,000       X        28-5284      1000
                                                              16,430       1,000       X      X 28-5284      1000
SRA INTL INC                 CL A           78464R105         10,107         450       X        28-5284       450
                                                             595,190      26,500       X      X 28-5284      2850              23650
SWS GROUP INC                COM            78503N107          2,824         170       X        28-5284                          170
S Y BANCORP INC              COM            785060104        106,800       5,000       X        28-5284      5000
                                                              39,196       1,835       X      X 28-5284      1835
SABINE ROYALTY TR            UNIT BEN INT   785688102         13,632         200       X      X 28-5284       200
   COLUMN TOTAL                                           50,518,812







                                                                                                                    FILE NO. 28-1235
PAGE 184 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
SAFECO CORP                  COM            786429100     10,937,476     162,857       X        28-5284    160522               2335
                                                           7,505,869     111,761       X      X 28-5284    110822       250      689
                                                             280,594       4,178       X        28-4580      4178
                                                             126,932       1,890       X      X 28-4580      1890
SAFEGUARD SCIENTIFICS INC    COM            786449108          6,723       5,422       X        28-5284      5422
                                                             451,484     364,100       X      X 28-5284    364100
                                                              37,200      30,000       X        28-4580                        30000
SAFETY INS GROUP INC         COM            78648T100         10,695         300       X      X 28-5284       300
SAFEWAY INC                  COM NEW        786514208        423,768      14,843       X        28-5284      6943               7900
                                                              74,944       2,625       X      X 28-5284      2625
                                                             930,159      32,580       X        28-11135    32580
SAGA COMMUNICATIONS          CL A           786598102            316          63       X        28-11135       63
SAIA INC                     COM            78709Y105            819          75       X      X 28-5284        75
ST JOE CO                    COM            790148100         60,300       1,757       X        28-5284      1757
                                                             483,912      14,100       X      X 28-5284      5100               9000
ST JUDE MED INC              COM            790849103      2,872,311      70,262       X        28-5284     69103               1159
                                                           1,069,257      26,156       X      X 28-5284     26156
                                                             116,917       2,860       X        28-11135     2860
                                                              11,160         273       X        28-4580       273
ST MARY LD & EXPL CO         COM            792228108         76,922       1,190       X        28-5284       700                490
                                                             775,680      12,000       X      X 28-5284      7225               4775
                                                              85,907       1,329       X        28-11135     1329
SAKS INC                     COM            79377W108          2,196         200       X        28-5284       200
                                                               5,490         500       X      X 28-5284                          500
SALEM COMMUNICATIONS CORP DE CL A           794093104            660         335       X        28-5284       335
SALESFORCE COM INC           COM            79466L302      1,678,458      24,600       X        28-5284     22000               2600
                                                              78,465       1,150       X      X 28-5284       950                200
SALLY BEAUTY HLDGS INC       COM            79546E104        153,858      23,817       X        28-11135    23817
SAN JUAN BASIN RTY TR        UNIT BEN INT   798241105        101,911       2,203       X        28-5284      2203
                                                             386,780       8,361       X      X 28-5284      8361
   COLUMN TOTAL                                           28,747,163







                                                                                                                    FILE NO. 28-1235
PAGE 185 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
SANDISK CORP                 COM            80004C101      2,636,943     141,013       X        28-5284    126471              14542
                                                             153,228       8,194       X      X 28-5284      8194
                                                               1,290          69       X        28-11135       69
SANDY SPRING BANCORP INC     COM            800363103         18,968       1,144       X        28-5284      1144
                                                              88,703       5,350       X      X 28-5284      5350
SANGAMO BIOSCIENCES INC      COM            800677106            995         100       X        28-5284       100
                                                              53,531       5,380       X      X 28-5284      5380
SANMINA SCI CORP             COM            800907107         20,471      15,993       X        28-5284        93              15900
SANOFI AVENTIS               SPONSORED ADR  80105N105        626,452      18,852       X        28-5284      2152              16700
                                                             120,592       3,629       X      X 28-5284      3794               165-
                                                             445,282      13,400       X        28-11135    13400
SANTOS LIMITED               SPONSORED ADR  803021609         11,976         144       X        28-5284       144
SAP AKTIENGESELLSCHAFT       SPONSORED ADR  803054204        378,683       7,267       X        28-5284      7267
                                                             744,391      14,285       X      X 28-5284      2753      1600     9932
SAPIENT CORP                 COM            803062108          5,136         800       X      X 28-5284       800
SARA LEE CORP                COM            803111103      3,459,449     282,404       X        28-5284    267562              14842
                                                           3,368,701     274,996       X      X 28-5284    267991               7005
                                                              15,313       1,250       X        28-4580      1250
                                                               6,750         551       X      X 28-4580       551
SASOL LTD                    SPONSORED ADR  803866300        128,725       2,184       X        28-5284      2184
                                                              77,447       1,314       X      X 28-5284      1314
                                                              25,816         438       X        28-11135      438
                                                               5,894         100       X      X 28-4580       100
SATCON TECHNOLOGY CORP       COM            803893106            852         300       X      X 28-4580       300
SATYAM COMPUTER SERVICES LTD ADR            804098101        736,581      30,040       X        28-5284     30040
                                                           1,591,348      64,900       X      X 28-5284     64900
                                                                 441          18       X        28-11135       18
SAUL CTRS INC                COM            804395101        140,970       3,000       X        28-5284      3000
                                                             474,599      10,100       X      X 28-5284     10100
   COLUMN TOTAL                                           15,339,527







                                                                                                                    FILE NO. 28-1235
PAGE 186 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
SCANA CORP NEW               COM            80589M102        153,735       4,155       X        28-5284      4155
                                                             295,963       7,999       X      X 28-5284      7999
                                                              11,470         310       X        28-11135      310
                                                              74,000       2,000       X        28-4580      2000
SCHEIN HENRY INC             COM            806407102        316,846       6,144       X        28-5284      6144
                                                                 103           2       X        28-11135        2
                                                              35,068         680       X      X 28-4580       680
SCHERING PLOUGH CORP         COM            806605101     10,255,143     520,830       X        28-5284    485170              35660
                                                          11,727,600     595,612       X      X 28-5284    547686              47926
                                                             736,485      37,404       X        28-11135    37404
                                                              47,256       2,400       X        28-4580      2400
                                                             143,737       7,300       X      X 28-4580      7300
SCHERING PLOUGH CORP         PFD CONV MAN07 806605705         68,944         360       X      X 28-5284       360
SCHLUMBERGER LTD             COM            806857108    129,245,058   1,203,063       X        28-5284   1128804              74259
                                                         118,011,103   1,098,493       X      X 28-5284    957134      3392   137967
                                                           1,109,000      10,323       X        28-11135    10323
                                                           3,062,292      28,505       X        28-4580     27945                560
                                                             894,355       8,325       X      X 28-4580      8043       282
SCHOOL SPECIALTY INC         COM            807863105          4,162         140       X        28-5284                          140
                                                                 565          19       X        28-11135       19
SCHWAB CHARLES CORP NEW      COM            808513105        855,779      41,664       X        28-5284     41664
                                                             599,747      29,199       X      X 28-5284     18699              10500
                                                               1,109          54       X        28-11135       54
SCHWEITZER-MAUDUIT INTL INC  COM            808541106         21,063       1,250       X        28-5284      1250
SCIENTIFIC GAMES CORP        CL A           80874P109         15,521         524       X        28-5284       524
                                                                 444          15       X        28-11135       15
SCOTTS MIRACLE GRO CO        CL A           810186106            299          17       X        28-5284        17
                                                              36,897       2,100       X      X 28-5284      2100
SCRIPPS E W CO OHIO          CL A           811054204      2,551,262      61,417       X        28-5284     44805              16612
                                                           1,805,702      43,469       X      X 28-5284     36765               6704
                                                             215,966       5,199       X        28-11135     5199
   COLUMN TOTAL                                          282,296,674







                                                                                                                    FILE NO. 28-1235
PAGE 187 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
SEACOAST BKG CORP FLA        COM            811707306          6,736         868       X        28-5284       868
                                                              82,101      10,580       X      X 28-5284      2000               8580
SEACOR HOLDINGS INC          COM            811904101         16,112         180       X        28-5284                          180
SEALED AIR CORP NEW          COM            81211K100         22,812       1,200       X        28-5284      1200
                                                             299,179      15,738       X      X 28-5284     14348               1390
SEARS HLDGS CORP             COM            812350106        314,307       4,267       X        28-5284      3896                371
                                                             193,947       2,633       X      X 28-5284      2494                139
                                                                 810          11       X        28-11135       11
                                                               6,924          94       X        28-4580        94
                                                              20,183         274       X      X 28-4580       274
SEATTLE GENETICS INC         COM            812578102         16,920       2,000       X      X 28-5284      2000
SELECT SECTOR SPDR TR        SBI MATERIALS  81369Y100        209,067       5,010       X        28-5284      5010
                                                               4,882         117       X      X 28-5284       117
SELECT SECTOR SPDR TR        SBI HEALTHCARE 81369Y209        126,357       4,132       X        28-5284      4132
                                                             671,537      21,960       X      X 28-5284     21960
                                                               1,529          50       X      X 28-4580        50
SELECT SECTOR SPDR TR        SBI CONS STPLS 81369Y308         53,179       1,988       X        28-5284      1988
                                                               2,943         110       X      X 28-5284       110
                                                             172,752       6,458       X      X 28-4580      6458
SELECT SECTOR SPDR TR        SBI CONS DISCR 81369Y407        367,392      12,900       X        28-5284     12900
                                                             376,620      13,224       X      X 28-5284     13224
SELECT SECTOR SPDR TR        SBI INT-ENERGY 81369Y506     18,408,441     208,052       X        28-5284    207877                175
                                                           5,077,956      57,391       X      X 28-5284     48019               9372
                                                             281,455       3,181       X        28-4580      3181
                                                              26,544         300       X      X 28-4580       300
SELECT SECTOR SPDR TR        SBI INT-FINL   81369Y605      3,449,772     170,275       X        28-5284    179830              9555-
                                                           1,667,641      82,312       X      X 28-5284     40657              41655
                                                             234,631      11,581       X        28-4580     11581
                                                               1,013          50       X      X 28-4580        50
SELECT SECTOR SPDR TR        SBI INT-INDS   81369Y704        150,324       4,420       X        28-5284      4420
                                                             335,679       9,870       X      X 28-5284      9870
                                                              22,107         650       X      X 28-4580       650
   COLUMN TOTAL                                           32,621,852







                                                                                                                    FILE NO. 28-1235
PAGE 188 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
SELECT SECTOR SPDR TR        SBI INT-TECH   81369Y803      9,836,867     429,370       X        28-5284    429370
                                                           8,284,050     361,591       X      X 28-5284    359603               1988
                                                             222,227       9,700       X        28-4580      9700
                                                             268,986      11,741       X      X 28-4580     11741
SELECT SECTOR SPDR TR        SBI INT-UTILS  81369Y886      3,116,440      76,571       X        28-5284     72971               3600
                                                           3,526,614      86,649       X      X 28-5284     76149              10500
                                                              61,050       1,500       X      X 28-4580      1500
SELECTICA INC                COM            816288104      2,640,911   1,956,230       X      X 28-5284             1956230
SELECTIVE INS GROUP INC      COM            816300107        309,352      16,490       X        28-5284     16100                390
                                                             213,864      11,400       X      X 28-5284     11400
SEMTECH CORP                 COM            816850101         15,336       1,090       X        28-5284      1090
                                                              66,833       4,750       X      X 28-5284      4750
                                                             139,687       9,928       X        28-11135     9928
SEMPRA ENERGY                COM            816851109        222,639       3,944       X        28-5284      3694                250
                                                           2,006,967      35,553       X      X 28-5284     34239               1314
                                                             131,359       2,327       X        28-11135     2327
                                                              84,675       1,500       X        28-4580                         1500
                                                              14,169         251       X      X 28-4580       251
SEMITOOL INC                 COM            816909105          2,253         300       X      X 28-5284       300
SENIOR HSG PPTYS TR          SH BEN INT     81721M109         27,537       1,410       X        28-5284      1410
                                                             445,870      22,830       X      X 28-5284     22530                300
SENSIENT TECHNOLOGIES CORP   COM            81725T100         14,080         500       X      X 28-5284                          500
SEPRACOR INC                 COM            817315104         13,366         671       X        28-5284       671
SERVICE CORP INTL            COM            817565104          8,756         888       X      X 28-5284       888
                                                              10,461       1,061       X        28-11135     1061
SHANDA INTERACTIVE ENTMT LTD SPONSORED ADR  81941Q203        716,760      26,400       X      X 28-5284     26400
SHAW GROUP INC               COM            820280105        189,695       3,070       X        28-5284      3050                 20
                                                             105,043       1,700       X      X 28-5284      1700
   COLUMN TOTAL                                           32,695,847







                                                                                                                    FILE NO. 28-1235
PAGE 189 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
SHERWIN WILLIAMS CO          COM            824348106        178,897       3,895       X        28-5284      3895
                                                           2,363,099      51,450       X      X 28-5284     51450
                                                             199,061       4,334       X        28-11135     4334
                                                              78,081       1,700       X        28-4580      1700
                                                              45,930       1,000       X      X 28-4580      1000
SHIRE LIMITED                SPONSORED ADR  82481R106         60,970       1,241       X        28-5284      1241
                                                              23,337         475       X      X 28-5284       200                275
SHORE BANCSHARES INC         COM            825107105      2,433,450     129,992       X      X 28-5284    129992
SHUTTERFLY INC               COM            82568P304         24,420       2,000       X      X 28-5284      2000
SIEMENS A G                  SPONSORED ADR  826197501        424,331       3,853       X        28-5284      3003                850
                                                             115,637       1,050       X      X 28-5284       650                400
                                                               3,855          35       X        28-11135       35
SIERRA BANCORP               COM            82620P102          3,300         200       X      X 28-5284       200
SIERRA PAC RES NEW           COM            826428104         28,814       2,267       X        28-5284      2267
SIERRA WIRELESS INC          COM            826516106      1,251,220      85,700       X      X 28-5284     85700
                                                                 715          49       X        28-11135       49
SIGMA ALDRICH CORP           COM            826552101        679,498      12,616       X        28-5284     12616
                                                           1,900,450      35,285       X      X 28-5284     16985              18300
                                                              26,930         500       X      X 28-4580       500
SIGNET GROUP PLC             SP ADR REP 10  82668L872          5,169         519       X        28-5284       519
                                                              66,991       6,726       X        28-11135     6726
SILICON LABORATORIES INC     COM            826919102         49,443       1,370       X        28-5284      1070                300
SILGAN HOLDINGS INC          COM            827048109         22,173         437       X        28-11135      437
SILICON IMAGE INC            COM            82705T102          1,175         162       X        28-5284       162
SILICON STORAGE TECHNOLOGY I COM            827057100      5,679,982   2,050,535       X      X 28-5284             2050535
SILICONWARE PRECISION INDS L SPONSD ADR SPL 827084864            716          98       X        28-5284        98
                                                                  88          12       X      X 28-5284        12
SILVER STD RES INC           COM            82823L106         18,766         655       X      X 28-5284       655
   COLUMN TOTAL                                           15,686,498







                                                                                                                    FILE NO. 28-1235
PAGE 190 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
SILVER WHEATON CORP          COM            828336107         41,753       2,850       X        28-5284      2850
SIMON PPTY GROUP INC NEW     COM            828806109      4,956,714      55,142       X        28-5284     48092               7050
                                                           2,102,347      23,388       X      X 28-5284     22908                480
                                                              49,440         550       X        28-4580       550
                                                             157,308       1,750       X      X 28-4580      1750
SIMON PPTY GROUP INC NEW     PFD CONV I 6%  828806802     21,635,251     299,160       X        28-11439   299160
SIMPSON MANUFACTURING CO INC COM            829073105         47,836       2,015       X        28-5284      1735                280
SIMS GROUP LTD               SPONS ADR      829160100         29,327         735       X        28-5284       735
SINCLAIR BROADCAST GROUP INC CL A           829226109          1,079         142       X        28-5284       142
                                                               3,040         400       X      X 28-5284       300                100
SINGAPORE FD INC             COM            82929L109         20,790       1,500       X      X 28-5284      1500
SINOPEC SHANGHAI PETROCHEMIC SPON ADR H     82935M109          1,466          43       X        28-5284        43
                                                              34,090       1,000       X      X 28-5284      1000
SIRIUS SATELLITE RADIO INC   NOTE  3.250%10 82966UAD5      5,202,535       6,500       X        28-11439     6500
SIRIUS SATELLITE RADIO INC   COM            82966U103        227,654     118,570       X        28-5284    118570
                                                              38,784      20,200       X      X 28-5284     19200               1000
                                                                  35          18       X      X 28-4580        18
SIRF TECHNOLOGY HLDGS INC    COM            82967H101          2,592         600       X      X 28-5284       600
SIX FLAGS INC                COM            83001P109          6,900       6,000       X        28-5284      6000
SKYLINE CORP                 COM            830830105          1,645          70       X        28-5284                           70
SKYWEST INC                  COM            830879102          5,946         470       X        28-5284                          470
SKYWORKS SOLUTIONS INC       COM            83088M102          3,455         350       X      X 28-5284       280                 70
SKILLSOFT PLC                SPONSORED ADR  830928107          5,659         626       X        28-5284       626
SMART BALANCE INC            COM            83169Y108         19,467       2,700       X      X 28-5284      2500                200
SMITH & NEPHEW PLC           SPDN ADR NEW   83175M205         10,786         197       X        28-5284       197
                                                               5,092          93       X        28-11135       93
   COLUMN TOTAL                                           34,097,491







                                                                                                                    FILE NO. 28-1235
PAGE 191 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
SMITH & WESSON HLDG CORP     COM            831756101          1,042         200       X        28-5284       200
SMITH A O                    COM            831865209          5,909         180       X        28-5284                          180
                                                              19,698         600       X      X 28-5284                          600
SMITH INTL INC               COM            832110100     16,338,673     196,520       X        28-5284    194574               1946
                                                          11,017,131     132,513       X      X 28-5284    123338      3550     5625
                                                               2,910          35       X        28-11135       35
                                                             174,594       2,100       X        28-4580      2100
                                                             111,158       1,337       X      X 28-4580      1337
SMITHFIELD FOODS INC         COM            832248108         17,494         880       X        28-5284       880
                                                                  40           2       X      X 28-5284         2
SMUCKER J M CO               COM NEW        832696405      2,088,205      51,383       X        28-5284     47525               3858
                                                           1,804,985      44,414       X      X 28-5284     38440        12     5962
                                                               1,829          45       X      X 28-4580        45
SNAP ON INC                  COM            833034101         60,956       1,172       X        28-5284      1167                  5
                                                              28,762         553       X      X 28-5284       553
                                                               5,721         110       X        28-11135      110
SOAPSTONE NETWORKS INC       COM            833570104        288,985      75,453       X      X 28-5284               75453
SOLARFUN POWER HOLDINGS CO L SPONSORED ADR  83415U108          1,750         100       X        28-5284       100
SONIC AUTOMOTIVE INC         CL A           83545G102          6,445         500       X      X 28-5284       500
SONIC INNOVATIONS INC        COM            83545M109          4,008       1,200       X        28-5284      1200
SONIC CORP                   COM            835451105        621,600      42,000       X        28-5284     34875               7125
                                                              35,342       2,388       X      X 28-5284      2388
                                                                 710          48       X        28-11135       48
SONOCO PRODS CO              COM            835495102      2,985,932      96,476       X        28-5284     83716              12760
                                                             587,833      18,993       X      X 28-5284     18393                600
SONOSITE INC                 COM            83568G104          1,288          46       X      X 28-5284        46
SONY CORP                    ADR NEW        835699307        410,019       9,374       X        28-5284      9224                150
                                                             649,670      14,853       X      X 28-5284     13203               1650
                                                              23,138         529       X        28-11135      529
   COLUMN TOTAL                                           37,295,827







                                                                                                                    FILE NO. 28-1235
PAGE 192 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
SOTHEBYS                     COM            835898107         52,081       1,975       X        28-5284      1975
                                                               2,637         100       X      X 28-5284       100
                                                             263,225       9,982       X        28-11135     9982
SONUS NETWORKS INC           COM            835916107         85,500      25,000       X      X 28-5284     25000
SOURCE CAP INC               COM            836144105         30,788         583       X        28-5284       583
SOUTH FINL GROUP INC         COM            837841105        451,753     115,243       X        28-5284       201             115042
                                                                 172          44       X        28-11135       44
SOUTH JERSEY INDS INC        COM            838518108      1,773,703      47,476       X        28-5284     47476
                                                           1,120,800      30,000       X      X 28-5284                        30000
SOUTHCOAST FINANCIAL CORP    COM            84129R100        150,260      11,000       X      X 28-5284     11000
SOUTHERN CO                  COM            842587107      7,556,478     216,394       X        28-5284    196240              20154
                                                          11,249,234     322,143       X      X 28-5284    261999       250    59894
                                                              11,663         334       X        28-11135      334
                                                             264,624       7,578       X        28-4580      7578
                                                             157,140       4,500       X      X 28-4580      1000               3500
SOUTHERN COPPER CORP         COM            84265V105        441,235       4,138       X        28-5284       638               3500
                                                             751,848       7,051       X      X 28-5284      7051
SOUTHERN NATL BANCORP OF VA  COM            843395104         98,280      12,285       X        28-5284     12285
SOUTHERN UN CO NEW           COM            844030106        521,243      19,291       X        28-5284     18376                915
                                                              75,197       2,783       X      X 28-5284      1183               1600
                                                               6,755         250       X      X 28-4580       250
SOUTHWEST AIRLS CO           COM            844741108        132,447      10,157       X        28-5284      9292                865
                                                             651,439      49,957       X      X 28-5284     45732               4225
                                                             195,600      15,000       X        28-11439    15000
                                                              24,972       1,915       X      X 28-4580      1915
SOUTHWEST BANCORP INC OKLA   COM            844767103        108,031       9,394       X        28-11135     9394
SOUTHWEST GAS CORP           COM            844895102        106,939       3,597       X        28-5284      3277                320
                                                             118,920       4,000       X      X 28-5284                         4000
SOUTHWEST WTR CO             COM            845331107         69,298       6,916       X      X 28-5284      6706                210
   COLUMN TOTAL                                           26,472,262







                                                                                                                    FILE NO. 28-1235
PAGE 193 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
SOUTHWESTERN ENERGY CO       COM            845467109         19,044         400       X        28-5284       400
                                                           1,839,650      38,640       X      X 28-5284     38640
                                                               3,809          80       X        28-11135       80
                                                           1,142,640      24,000       X      X 28-4580     24000
SOVEREIGN BANCORP INC        COM            845905108        498,397      67,717       X        28-5284     67717
                                                              41,076       5,581       X      X 28-5284      5581
SOVRAN SELF STORAGE INC      COM            84610H108         38,027         915       X        28-5284       915
SPARTAN STORES INC           COM            846822104         62,330       2,710       X        28-11135     2710
SPARTECH CORP                COM NEW        847220209          1,301         138       X        28-5284       138
SPECTRA ENERGY CORP          COM            847560109      3,007,698     104,652       X        28-5284    103342               1310
                                                           4,007,736     139,448       X      X 28-5284    113698              25750
                                                               5,576         194       X        28-11135      194
                                                              26,240         913       X        28-4580       913
                                                              70,930       2,468       X      X 28-4580      2468
SPECTRUM CTL INC             COM            847615101          8,200       1,000       X        28-5284      1000
SPECTRUM PHARMACEUTICALS INC COM            84763A108         13,900      10,000       X      X 28-5284               10000
SPHERIX INC                  COM            84842R106         77,389     119,060       X        28-5284    119060
SPHERION CORP                COM            848420105          1,617         350       X        28-5284                          350
SPIRIT AEROSYSTEMS HLDGS INC COM CL A       848574109        719,250      37,500       X      X 28-5284     37500
                                                              19,180       1,000       X      X 28-4580                         1000
SPRINT NEXTEL CORP           COM SER 1      852061100      2,321,031     244,319       X        28-5284    205054              39265
                                                           1,785,497     187,947       X      X 28-5284    167744      3078    17125
                                                              11,134       1,172       X        28-11135     1172
                                                               5,700         600       X      X 28-4580       600
STAAR SURGICAL CO            COM PAR $0.01  852312305         15,981       5,155       X        28-5284      5155
STAMPS COM INC               COM NEW        852857200      4,752,172     380,783       X      X 28-5284              380783
STANCORP FINL GROUP INC      COM            852891100        117,541       2,503       X        28-5284                         2503
                                                               5,729         122       X        28-11135      122
   COLUMN TOTAL                                           20,618,775







                                                                                                                    FILE NO. 28-1235
PAGE 194 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
STANDARD MICROSYSTEMS CORP   COM            853626109          5,430         200       X        28-5284                          200
                                                              29,268       1,078       X      X 28-5284      1078
                                                                 787          29       X        28-11135       29
STANDARD MTR PRODS INC       COM            853666105            653          80       X        28-5284                           80
STANDARD PAC CORP NEW        COM            85375C101          1,453         430       X        28-5284                          430
STANDARD REGISTER CO         COM            853887107            754          80       X        28-5284                           80
STANDEX INTL CORP            COM            854231107          1,867          90       X        28-5284                           90
STANLEY WKS                  COM            854616109        230,157       5,134       X        28-5284      5134
                                                             614,171      13,700       X      X 28-5284     13550                150
STAPLES INC                  COM            855030102      1,663,878      70,058       X        28-5284     51034              19024
                                                           3,477,143     146,406       X      X 28-5284    142956       450     3000
                                                             887,181      37,355       X        28-11135    37355
STARBUCKS CORP               COM            855244109      4,533,576     288,029       X        28-5284    256570              31459
                                                             863,386      54,853       X      X 28-5284     26263              28590
                                                               2,943         187       X        28-11135      187
                                                              13,410         852       X      X 28-4580                          852
STARTEK INC                  COM            85569C107            658          70       X        28-5284                           70
STARWOOD HOTELS&RESORTS WRLD COM            85590A401        772,870      19,288       X        28-5284     13265               6023
                                                             172,662       4,309       X      X 28-5284      1431               2878
                                                              55,337       1,381       X        28-11135     1381
STATE STR CORP               COM            857477103     28,806,314     450,169       X        28-5284    413352              36817
                                                          14,926,307     233,260       X      X 28-5284    182819      3587    46854
                                                             392,579       6,135       X        28-11135     6135
                                                             487,668       7,621       X        28-4580      7441                180
                                                             452,857       7,077       X      X 28-4580      7077
STATOILHYDRO ASA             SPONSORED ADR  85771P102        249,325       6,670       X        28-5284      6670
                                                             198,151       5,301       X      X 28-5284      5301
                                                             514,984      13,777       X        28-11135    13777
                                                              13,345         357       X      X 28-4580       357
STEAK N SHAKE CO             COM            857873103          1,139         180       X        28-5284                          180
                                                              47,184       7,454       X        28-11135     7454
   COLUMN TOTAL                                           59,417,437







                                                                                                                    FILE NO. 28-1235
PAGE 195 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
STEEL DYNAMICS INC           COM            858119100         34,382         880       X        28-5284       880
                                                             461,807      11,820       X      X 28-5284     11820
                                                               1,797          46       X        28-11135       46
STEIN MART INC               COM            858375108            722         160       X        28-5284                          160
STELLARONE CORP              COM            85856G100         83,351       5,709       X        28-5284      3000               2709
                                                              20,075       1,375       X      X 28-5284                         1375
STERLING BANCSHARES INC      COM            858907108          3,727         410       X        28-5284                          410
STERICYCLE INC               COM            858912108        348,717       6,745       X        28-5284      6745
STERIS CORP                  COM            859152100         34,512       1,200       X      X 28-5284      1200
                                                             101,437       3,527       X        28-11135     3527
STERLING CONSTRUCTION CO INC COM            859241101         65,161       3,281       X        28-11135     3281
STEWART INFORMATION SVCS COR COM            860372101          3,094         160       X        28-5284                          160
STMICROELECTRONICS N V       NY REGISTRY    861012102      2,577,108     249,478       X        28-5284    225503              23975
                                                             136,459      13,210       X      X 28-5284     13210
STONE ENERGY CORP            COM            861642106        114,288       1,734       X        28-5284                         1734
STONEMOR PARTNERS L P        COM UNITS      86183Q100         17,480       1,000       X        28-5284      1000
STRATASYS INC                COM            862685104         36,920       2,000       X        28-5284      2000
                                                             129,220       7,000       X      X 28-5284      7000
STRATEGIC DIAGNOSTICS INC    COM            862700101          1,238         340       X      X 28-5284       340
STRATEGIC HOTELS & RESORTS I COM            86272T106         91,404       9,755       X        28-5284      9755
                                                               5,435         580       X      X 28-5284       580
STRATTEC SEC CORP            COM            863111100        148,400       4,240       X      X 28-5284      4240
STRATUS PPTYS INC            COM NEW        863167201          5,217         300       X        28-5284       300
   COLUMN TOTAL                                            4,421,951







                                                                                                                    FILE NO. 28-1235
PAGE 196 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
STRYKER CORP                 COM            863667101     22,138,350     352,073       X        28-5284    348655               3418
                                                          25,299,139     402,340       X      X 28-5284    383247      1305    17788
                                                              25,152         400       X        28-11135      400
                                                             274,345       4,363       X        28-4580      4363
                                                             264,348       4,204       X      X 28-4580      3880                324
STUDENT LN CORP              COM            863902102          4,316          44       X        28-5284        44
STURM RUGER & CO INC         COM            864159108          3,883         550       X        28-5284       400                150
SUBURBAN PROPANE PARTNERS L  UNIT LTD PARTN 864482104         15,292         400       X        28-5284       400
                                                              80,283       2,100       X      X 28-5284      2100
SUN COMMUNITIES INC          COM            866674104        102,088       5,600       X      X 28-5284       500      5100
SUN LIFE FINL INC            COM            866796105        535,176      13,069       X        28-5284     13069
                                                             167,404       4,088       X      X 28-5284      4088
SUN MICROSYSTEMS INC         COM NEW        866810203        166,464      15,300       X        28-5284     15300
                                                             166,431      15,297       X      X 28-5284      7679      4000     3618
                                                             749,904      68,925       X        28-11439    68925
SUN HYDRAULICS CORP          COM            866942105        286,751       8,886       X        28-11135     8886
SUNAMERICA FCSED ALPHA GRW F COM            867037103          2,587         165       X        28-5284       165
SUNCOR ENERGY INC            COM            867229106      1,578,307      27,156       X        28-5284     25130               2026
                                                           1,185,532      20,398       X      X 28-5284     20398
                                                               5,289          91       X        28-11135       91
SUNOCO LOGISTICS PRTNRS L P  COM UNITS      86764L108         99,663       2,125       X        28-5284      2125
                                                             681,926      14,540       X      X 28-5284     11350      2500      690
SUNOCO INC                   COM            86764P109        547,932      13,466       X        28-5284     12591                875
                                                           1,580,888      38,852       X      X 28-5284     37762               1090
SUNPOWER CORP                COM CL A       867652109         16,196         225       X        28-5284       225
                                                           1,043,710      14,500       X      X 28-5284     13000               1500
SUNRISE SENIOR LIVING INC    COM            86768K106          8,542         380       X        28-5284        50                330
SUNSTONE HOTEL INVS INC NEW  COM            867892101        122,176       7,360       X        28-5284      7360
                                                               6,142         370       X      X 28-5284       370
   COLUMN TOTAL                                           57,158,216







                                                                                                                    FILE NO. 28-1235
PAGE 197 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
SUNTRUST BKS INC             COM            867914103      2,183,161      60,275       X        28-5284     51507               8768
                                                           4,660,283     128,666       X      X 28-5284    119191       200     9275
                                                              91,963       2,539       X        28-11135     2539
                                                              76,062       2,100       X        28-4580      2100
SUNTECH PWR HLDGS CO LTD     ADR            86800C104         69,301       1,850       X        28-5284      1850
                                                             203,520       5,433       X      X 28-5284      4433               1000
SUPERIOR ENERGY SVCS INC     COM            868157108         13,785         250       X        28-5284       250
                                                             161,009       2,920       X      X 28-5284      2920
                                                           1,273,293      23,092       X        28-11135    23092
SUPERIOR INDS INTL INC       COM            868168105          3,393         201       X        28-5284       201
SUPERTEX INC                 COM            868532102          2,801         120       X        28-5284                          120
SUPERVALU INC                COM            868536103        431,997      13,985       X        28-5284      8760               5225
                                                             192,383       6,228       X      X 28-5284      4827               1401
                                                              13,530         438       X        28-11135      438
SURMODICS INC                COM            868873100         95,509       2,130       X        28-5284      2000                130
                                                             418,806       9,340       X      X 28-5284      4650               4690
SUSQUEHANNA BANCSHARES INC P COM            869099101         66,533       4,860       X        28-5284      3786               1074
                                                             161,090      11,767       X      X 28-5284      5809               5958
                                                              26,422       1,930       X      X 28-4580      1930
SUSSEX BANCORP               COM            869245100         81,000      10,000       X      X 28-5284     10000
SWIFT ENERGY CO              COM            870738101        150,220       2,274       X        28-5284                         2274
                                                              46,242         700       X      X 28-5284       700
                                                               4,294          65       X        28-11135       65
SWISS HELVETIA FD INC        COM            870875101        191,648      12,625       X        28-5284     12625
                                                             134,328       8,849       X      X 28-5284      8849
SYBASE INC                   COM            871130100          2,736          93       X        28-11135       93
SYMANTEC CORP                COM            871503108      6,108,215     315,670       X        28-5284    280347              35323
                                                           3,366,107     173,959       X      X 28-5284    150830              23129
                                                               1,683          87       X        28-11135       87
                                                             853,993      44,134       X        28-11439    44134
   COLUMN TOTAL                                           21,085,307







                                                                                                                    FILE NO. 28-1235
PAGE 198 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
SYMMETRICOM INC              COM            871543104          1,037         270       X        28-5284                          270
SYNERGY BRANDS INC           COM PAR $.001  87159E402        278,530     480,224       X      X 28-5284              480224
SYNGENTA AG                  SPONSORED ADR  87160A100         44,061         681       X        28-5284       681
                                                             163,173       2,522       X      X 28-5284      1000               1522
                                                                 647          10       X        28-11135       10
SYNOPSYS INC                 COM            871607107          1,577          66       X        28-11135       66
SYNOVUS FINL CORP            COM            87161C105        607,521      69,590       X        28-5284     55490              14100
                                                             344,879      39,505       X      X 28-5284     33705      5800
                                                               1,659         190       X        28-11135      190
                                                             227,853      26,100       X        28-1500     26100
SYNTEL INC                   COM            87162H103        787,362      23,350       X      X 28-5284     23350
SYNIVERSE HLDGS INC          COM            87163F106         45,911       2,834       X        28-11135     2834
SYNTAX BRILLIAN CORP         COM            87163L103         18,850      36,250       X      X 28-5284     35000      1250
SYSCO CORP                   COM            871829107     17,385,440     631,968       X        28-5284    613043              18925
                                                           7,654,492     278,244       X      X 28-5284    225112      1300    51832
                                                               7,428         270       X        28-11135      270
                                                              37,111       1,349       X        28-4580      1349
                                                             621,368      22,587       X      X 28-4580     22587
SYSTEMAX INC                 COM            871851101        176,500      10,000       X        28-5284     10000
TCF FINL CORP                COM            872275102        124,968      10,388       X        28-5284      7060               3328
                                                             393,032      32,671       X      X 28-5284      4302              28369
TC PIPELINES LP              UT COM LTD PRT 87233Q108        140,960       4,000       X        28-5284      4000
TCW STRATEGIC INCOME FUND IN COM            872340104          5,032       1,371       X      X 28-5284      1371
TDK CORP                     AMERN DEP SH   872351408          8,100         135       X        28-5284       135
TD AMERITRADE HLDG CORP      COM            87236Y108         15,178         839       X        28-5284       839
                                                              18,090       1,000       X      X 28-5284      1000
TECO ENERGY INC              COM            872375100        273,073      12,707       X        28-5284     12707
                                                           1,074,307      49,991       X      X 28-5284     47991               2000
   COLUMN TOTAL                                           30,458,139







                                                                                                                    FILE NO. 28-1235
PAGE 199 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
TEL OFFSHORE TR              UNIT BEN INT   872382106         48,042       1,800       X      X 28-5284      1800
TEPPCO PARTNERS L P          UT LTD PARTNER 872384102        430,474      12,970       X        28-5284     12970
                                                             273,818       8,250       X      X 28-5284      8250
TGC INDS INC                 COM NEW        872417308        716,281      80,481       X        28-5284     80481
THQ INC                      COM NEW        872443403         10,474         517       X        28-5284                          517
TIB FINL CORP                COM            872449103          6,060       1,000       X        28-5284      1000
TJX COS INC NEW              COM            872540109      3,778,036     120,052       X        28-5284    115552               4500
                                                           2,238,996      71,147       X      X 28-5284     68864      2283
                                                              31,470       1,000       X        28-11135     1000
                                                              64,514       2,050       X        28-4580      2050
                                                              78,675       2,500       X      X 28-4580      2500
TLC VISION CORP              COM            872549100         70,200      70,200       X      X 28-5284               70200
TVI CORP NEW                 COM            872916101          9,945      25,500       X        28-5284     25500
                                                               7,215      18,500       X      X 28-5284     18500
TNS INC                      COM            872960109        321,855      13,433       X        28-11135    13433
TTM TECHNOLOGIES  INC        COM            87305R109        213,143      16,135       X        28-11135    16135
T-3 ENERGY SRVCS INC         COM            87306E107      2,598,669      32,700       X      X 28-5284     32700
TAIWAN SEMICONDUCTOR MFG LTD SPONSORED ADR  874039100        244,373      22,399       X        28-5284      8732              13667
                                                              23,391       2,144       X      X 28-5284      2144
                                                              10,834         993       X        28-11135      993
                                                               1,637         150       X        28-4580       150
TAKE-TWO INTERACTIVE SOFTWAR COM            874054109         17,004         665       X        28-5284        75                590
TALBOTS INC                  COM            874161102          9,678         835       X        28-5284       835
                                                               3,477         300       X      X 28-5284       300
TALISMAN ENERGY INC          COM            87425E103          4,315         195       X      X 28-5284       195
                                                             538,334      24,326       X        28-11135    24326
                                                              44,260       2,000       X        28-4580      2000
   COLUMN TOTAL                                           11,795,170







                                                                                                                    FILE NO. 28-1235
PAGE 200 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
TANGER FACTORY OUTLET CTRS I COM            875465106        323,550       9,005       X        28-5284      9005
                                                              86,232       2,400       X      X 28-5284      2400
TANGER PPTYS LTD PARTNERSHIP NOTE  3.750% 8 875484AE7      6,335,901       5,850       X        28-11439     5850
TARGET CORP                  COM            87612E106    143,764,560   3,092,376       X        28-5284   3062366              30010
                                                          18,478,287     397,468       X      X 28-5284    311497     28650    57321
                                                               7,020         151       X        28-11135      151
                                                             116,225       2,500       X        28-4580      2500
                                                             253,371       5,450       X      X 28-4580      5450
TARGETED GENETICS CORP       COM NEW        87612M306              4           6       X        28-5284         6
TASER INTL INC               COM            87651B104         14,970       3,000       X        28-5284      3000
TASEKO MINES LTD             COM            876511106          5,120       1,000       X        28-5284      1000
                                                               2,560         500       X      X 28-5284       500
TASTY BAKING CO              COM            876553306          4,140         750       X      X 28-5284       750
TATA MTRS LTD                SPONSORED ADR  876568502          3,015         300       X      X 28-5284       300
                                                              32,441       3,228       X      X 28-4580      3228
TAUBMAN CTRS INC             COM            876664103        398,687       8,195       X        28-5284      8195
                                                              23,839         490       X      X 28-5284       490
TECH DATA CORP               COM            878237106         13,556         400       X        28-5284       400
                                                               6,778         200       X      X 28-5284       200
                                                               1,695          50       X        28-11135       50
TECHNE CORP                  COM            878377100        186,665       2,412       X        28-5284      2412
                                                           2,542,648      32,855       X      X 28-5284     18605              14250
TECHNITROL INC               COM            878555101          5,267         310       X        28-5284                          310
                                                              33,980       2,000       X      X 28-5284                         2000
                                                              48,048       2,828       X        28-11135     2828
TECHNOLOGY SOLUTIONS CO      COM NEW        87872T207      1,010,624     217,105       X      X 28-5284              217105
TECHNOLOGY RESH CORP         COM NEW        878727304          1,295         500       X        28-5284       500
   COLUMN TOTAL                                          173,065,753







                                                                                                                    FILE NO. 28-1235
PAGE 201 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
TECK COMINCO LTD             CL B           878742204         49,868       1,040       X        28-5284      1040
                                                              11,988         250       X      X 28-5284       150                100
TECUMSEH PRODS CO            CL A           878895200         32,780       1,000       X        28-5284      1000
TEGAL CORP                   COM NEW        879008209            323          78       X      X 28-5284        78
TEJON RANCH CO DEL           COM            879080109         90,150       2,500       X      X 28-5284                2500
TEKELEC                      COM            879101103            986          67       X        28-11135       67
TELE NORTE LESTE PART S A    SPON ADR PFD   879246106          2,242          90       X        28-11135       90
TELECOM ITALIA S P A NEW     SPON ADR ORD   87927Y102          9,501         476       X        28-5284       476
TELECOM CORP NEW ZEALAND LTD SPONSORED ADR  879278208          4,729         350       X        28-5284       350
                                                              28,682       2,123       X      X 28-5284      2123
                                                               1,648         122       X        28-11135      122
TELECOMMUNICATION SYS INC    CL A           87929J103         25,465       5,500       X      X 28-5284      5500
TELEDYNE TECHNOLOGIES INC    COM            879360105         13,661         280       X        28-5284                          280
                                                               2,683          55       X        28-11135       55
TELEFLEX INC                 COM            879369106      3,822,924      68,770       X        28-5284     67100               1670
                                                             689,872      12,410       X      X 28-5284     12300                110
                                                               3,613          65       X        28-11135       65
TELEFONICA S A               SPONSORED ADR  879382208        219,641       2,760       X        28-5284      2760
                                                             505,413       6,351       X      X 28-5284      6351
                                                              33,662         423       X        28-11135      423
TELEFONOS DE MEXICO S A B    SPON ADR A SHS 879403707         80,953       3,390       X        28-5284      3390
TELEFONOS DE MEXICO S A B    SPON ADR ORD L 879403780        166,565       7,034       X        28-5284      7034
                                                             182,336       7,700       X      X 28-5284      4800               2900
                                                               3,363         142       X        28-11135      142
TELEPHONE & DATA SYS INC     SPL COM        879433860          8,820         200       X        28-5284       200
                                                               2,117          48       X        28-11135       48
TELLABS INC                  COM            879664100         22,050       4,742       X        28-5284                         4742
                                                              11,625       2,500       X      X 28-5284      2500
   COLUMN TOTAL                                            6,027,660







                                                                                                                    FILE NO. 28-1235
PAGE 202 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
TELMEX INTERNACIONAL SAB DE  SPONS ADR SR L 879690105        100,593       6,248       X        28-5284      6248
                                                             114,310       7,100       X      X 28-5284      4000               3100
                                                               4,572         284       X        28-11135      284
TELMEX INTERNACIONAL SAB DE  SPON ADR SR A  879690204         44,083       2,750       X        28-5284      2750
                                                              10,259         640       X      X 28-5284       640
TEMPLE INLAND INC            COM            879868107         36,391       3,229       X        28-5284      1429               1800
                                                              15,327       1,360       X      X 28-5284      1360
TELETECH HOLDINGS INC        COM            879939106          1,198          60       X        28-5284        60
                                                               2,375         119       X      X 28-5284       119
TEMPLETON DRAGON FD INC      COM            88018T101         32,234       1,294       X        28-5284      1294
                                                             154,442       6,200       X      X 28-5284      6200
TEMPLETON EMERGING MKTS FD I COM            880191101         19,850       1,000       X      X 28-5284      1000
TEMPLETON EMERG MKTS INCOME  COM            880192109         61,607       4,550       X        28-5284      4550
                                                              46,862       3,461       X      X 28-5284                         3461
TEMPLETON GLOBAL INCOME FD   COM            880198106        136,598      15,400       X        28-5284     15400
                                                              22,175       2,500       X      X 28-5284      2500
TEMPLETON RUS AND EAST EUR F COM            88022F105        115,940       2,000       X        28-5284      2000
TEMPUR PEDIC INTL INC        COM            88023U101      1,856,242     237,675       X        28-5284    222580              15095
                                                             129,802      16,620       X      X 28-5284     16620
TENARIS S A                  SPONSORED ADR  88031M109         70,850         951       X        28-5284       951
                                                              81,205       1,090       X      X 28-5284      1090
TENET HEALTHCARE CORP        COM            88033G100          3,586         645       X        28-5284       645
TENNECO INC                  COM            880349105            852          63       X        28-5284        62                  1
                                                                 731          54       X      X 28-5284        54
                                                               1,894         140       X        28-4580       140
TERADATA CORP DEL            COM            88076W103         64,375       2,782       X      X 28-5284      2646                136
                                                               2,869         124       X        28-4580       124
   COLUMN TOTAL                                            3,131,222







                                                                                                                    FILE NO. 28-1235
PAGE 203 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
TERADYNE INC                 COM            880770102        186,098      16,811       X        28-5284     15211               1600
                                                              57,099       5,158       X      X 28-5284      5158
TEREX CORP NEW               COM            880779103         30,822         600       X        28-5284       600
                                                             520,121      10,125       X      X 28-5284     10125
                                                             397,963       7,747       X        28-11135     7747
TERNIUM SA                   SPON ADR       880890108          8,484         202       X      X 28-5284       202
TERRA INDS INC               COM            880915103          2,468          50       X        28-5284        50
TERRA NITROGEN CO L P        COM UNIT       881005201         71,412         550       X        28-5284       550
                                                              77,904         600       X      X 28-5284       600
TERRESTAR CORP               COM            881451108          9,612       2,415       X      X 28-5284                2415
TESORO CORP                  COM            881609101          9,905         501       X        28-5284       501
                                                             323,694      16,373       X      X 28-5284     16173                200
TETRA TECHNOLOGIES INC DEL   COM            88162F105         12,661         534       X        28-5284                          534
TETRA TECH INC NEW           COM            88162G103         26,692       1,180       X        28-5284       750                430
                                                              11,310         500       X      X 28-5284       500
TEVA PHARMACEUTICAL INDS LTD ADR            881624209      9,888,083     215,897       X        28-5284    214877               1020
                                                          13,278,519     289,924       X      X 28-5284    278726      1328     9870
                                                             179,353       3,916       X        28-11135     3916
                                                             217,504       4,749       X        28-4580      4749
                                                             102,134       2,230       X      X 28-4580      2230
TESSERA TECHNOLOGIES INC     COM            88164L100            115           7       X      X 28-5284         7
TEXAS INDS INC               COM            882491103         12,349         220       X        28-5284                          220
                                                             398,523       7,100       X      X 28-5284      7100
TEXAS INSTRS INC             COM            882508104     19,930,803     707,770       X        28-5284    651707              56063
                                                          15,499,517     550,409       X      X 28-5284    505331      1250    43828
                                                             780,483      27,716       X        28-11135    27716
                                                              72,512       2,575       X        28-4580      2575
                                                              94,195       3,345       X      X 28-4580      3345
TEXAS PAC LD TR              SUB CTF PROP I 882610108        250,275       4,700       X        28-5284      4700
                                                              26,625         500       X      X 28-5284       500
   COLUMN TOTAL                                           62,477,235







                                                                                                                    FILE NO. 28-1235
PAGE 204 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
TEXAS ROADHOUSE INC          CL A           882681109        353,867      39,450       X        28-5284     39450
TEXTRON INC                  COM            883203101      6,809,846     142,079       X        28-5284    139249               2830
                                                           5,981,472     124,796       X      X 28-5284    122326        90     2380
                                                             403,139       8,411       X        28-11135     8411
                                                             196,753       4,105       X        28-4580      4105
                                                              14,379         300       X      X 28-4580       300
THERAGENICS CORP             COM            883375107          1,089         300       X        28-5284                          300
THERMO FISHER SCIENTIFIC INC COM            883556102        675,503      12,121       X        28-5284     12121
                                                           1,247,628      22,387       X      X 28-5284      9157              13230
                                                           1,584,348      28,429       X        28-11135    28429
THOMAS & BETTS CORP          COM            884315102        366,653       9,687       X        28-5284      9687
                                                             324,791       8,581       X      X 28-5284      7719                862
THOMSON REUTERS CORP         COM            884903105         32,190       1,000       X      X 28-5284      1000
THOMSON                      SPONSORED ADR  885118109          8,167       1,589       X        28-5284      1589
                                                              16,448       3,200       X      X 28-5284      3200
THOMSON REUTERS PLC          SPONSORED ADR  885141101            648           4       X        28-5284         4
                                                              25,256         156       X      X 28-5284       156
THOR INDS INC                COM            885160101         15,307         720       X        28-5284       720
                                                              21,260       1,000       X      X 28-5284      1000
                                                                 532          25       X        28-11135       25
THORNBURG MTG INC            COM            885218107            414       2,050       X        28-5284      2050
                                                                 788       3,900       X      X 28-5284      3900
                                                                  12          59       X        28-11135       59
THORNBURG MTG INC            PFD E CV 7.50% 885218503         35,000       8,750       X      X 28-5284                8750
THORNBURG MTG INC            PFD CONV SER F 885218701         32,800       8,000       X      X 28-5284                8000
3COM CORP                    COM            885535104          7,865       3,710       X        28-5284      3710
                                                               1,548         730       X      X 28-5284       300                430
                                                             102,850      48,514       X        28-11135    48514
3-D SYS CORP DEL             COM NEW        88554D205        399,969      42,102       X        28-11135    42102
   COLUMN TOTAL                                           18,660,522







                                                                                                                    FILE NO. 28-1235
PAGE 205 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
3M CO                        COM            88579Y101     98,416,405   1,414,232       X        28-5284   1356665       600    56967
                                                         107,398,108   1,543,298       X      X 28-5284   1401533      4825   136940
                                                              49,478         711       X        28-11135      711
                                                           3,923,693      56,383       X        28-4580     56383
                                                           3,248,113      46,675       X      X 28-4580     43300               3375
TIDEWATER INC                COM            886423102      8,327,742     128,060       X        28-5284    115995              12065
                                                             578,767       8,900       X      X 28-5284      8900
TIFFANY & CO NEW             COM            886547108      1,234,970      30,306       X        28-5284     18976              11330
                                                           1,631,060      40,026       X      X 28-5284     21871              18155
                                                              61,410       1,507       X        28-11135     1507
TIM HORTONS INC              COM            88706M103         60,106       2,095       X        28-5284      2095
                                                              61,626       2,148       X      X 28-5284      1336                812
TIMBERLAND CO                CL A           887100105         20,029       1,225       X        28-5284      1225
TIME WARNER INC              COM            887317105      6,252,512     422,467       X        28-5284    376622              45845
                                                           3,692,112     249,467       X      X 28-5284    186209       200    63058
                                                              12,121         819       X        28-11135      819
                                                             179,790      12,148       X        28-11439    12148
                                                              23,680       1,600       X        28-4580      1600
TIMKEN CO                    COM            887389104          3,459         105       X        28-11135      105
TITAN MACHY INC              COM            88830R101         21,924         700       X        28-5284       700
                                                              21,924         700       X      X 28-5284       500                200
TITANIUM METALS CORP         COM NEW        888339207         69,950       5,000       X        28-5284      5000
                                                              40,571       2,900       X      X 28-5284      2900
TIVO INC                     COM            888706108         15,425       2,500       X        28-5284      2500
TOLL BROTHERS INC            COM            889478103        412,397      22,018       X        28-5284     17103               4915
                                                              24,349       1,300       X      X 28-5284      1300
                                                               6,574         351       X        28-4580       351
TOLLGRADE COMMUNICATIONS INC COM            889542106         29,544       6,580       X        28-5284      6500                 80
                                                             494,529     110,140       X      X 28-5284      4000    106140
   COLUMN TOTAL                                          236,312,368







                                                                                                                    FILE NO. 28-1235
PAGE 206 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
TOMKINS PLC                  SPONSORED ADR  890030208         12,681       1,048       X        28-5284      1048
                                                                 242          20       X        28-11135       20
                                                               1,428         118       X        28-4580       118
TOMPKINS FINANCIAL CORPORATI COM            890110109          9,895         266       X        28-5284                          266
TOOTSIE ROLL INDS INC        COM            890516107          6,458         257       X        28-5284       257
                                                              66,042       2,628       X      X 28-5284       826               1802
TORCHMARK CORP               COM            891027104      1,214,700      20,711       X        28-5284      8499              12212
                                                           2,334,035      39,796       X      X 28-5284     12196              27600
                                                              14,663         250       X        28-11135      250
TORO CO                      COM            891092108        110,124       3,310       X        28-5284      3000                310
                                                             676,712      20,340       X      X 28-5284      9700              10640
                                                              89,896       2,702       X        28-11135     2702
TORONTO DOMINION BK ONT      COM NEW        891160509     10,278,473     165,063       X        28-5284    165063
                                                             260,289       4,180       X      X 28-5284      4180
TORTOISE ENERGY INFRSTRCTR C COM            89147L100         15,596         574       X        28-5284       574
                                                              27,170       1,000       X      X 28-5284      1000
                                                              40,755       1,500       X      X 28-4580      1500
TORTOISE CAP RES CORP        COM            89147N304         12,269       1,031       X      X 28-5284      1031
TORTOISE NORTH AMRN ENRGY CO COM            89147T103         24,650       1,000       X        28-5284      1000
TORTOISE ENERGY CAP CORP     COM            89147U100         25,250       1,000       X        28-5284      1000
TOTAL S A                    SPONSORED ADR  89151E109      9,433,505     110,631       X        28-5284    106283               4348
                                                           2,443,241      28,653       X      X 28-5284     21195               7458
                                                             699,299       8,201       X        28-11135     8201
                                                             104,029       1,220       X        28-4580      1220
TOTAL SYS SVCS INC           COM            891906109        695,442      31,298       X        28-5284     28098               3200
                                                             100,079       4,504       X      X 28-5284      1698      2806
                                                               2,022          91       X        28-11135       91
TRACK DATA CORP              COM NEW        891918203        219,956      99,980       X      X 28-5284               99980
TOWN SPORTS INTL HLDGS INC   COM            89214A102          1,382         148       X        28-5284       148
   COLUMN TOTAL                                           28,920,283







                                                                                                                    FILE NO. 28-1235
PAGE 207 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
TOWNEBANK PORTSMOUTH VA      COM            89214P109         15,060       1,000       X      X 28-5284                         1000
TOYOTA MOTOR CORP            SP ADR REP2COM 892331307      1,002,416      10,664       X        28-5284     10464                200
                                                             393,954       4,191       X      X 28-5284      3961                230
                                                             426,290       4,535       X        28-11135     4535
TORREYPINES THERAPEUTICS INC COM            89235K105         50,375      40,625       X      X 28-5284               40625
TRACTOR SUPPLY CO            COM            892356106         17,424         600       X        28-5284       500                100
                                                             254,100       8,750       X      X 28-5284      4150               4600
TRANS WORLD ENTMT CORP       COM            89336Q100      3,557,069   1,252,489       X      X 28-5284             1252489
TRANSAMERICA INCOME SHS INC  COM            893506105        168,702       9,300       X      X 28-5284                         9300
TRANSATLANTIC HLDGS INC      COM            893521104        104,300       1,847       X        28-5284      1250                597
                                                               1,129          20       X      X 28-5284        20
TRANSCANADA CORP             COM            89353D107        108,556       2,800       X        28-5284      2800
                                                             252,005       6,500       X      X 28-5284      2500               4000
TRANSDIGM GROUP INC          COM            893641100        221,157       6,584       X      X 28-5284      6584
TRANSMERIDIAN EXPL INC       COM            89376N108          3,150       5,000       X      X 28-5284      5000
TRANSMETA CORP DEL           COM            89376R208            691          50       X        28-5284        50
                                                           1,500,581     108,659       X      X 28-5284              108659
TRAVELERS COMPANIES INC      COM            89417E109      4,441,643     102,342       X        28-5284     74465              27877
                                                           7,281,218     167,770       X      X 28-5284    156659              11111
                                                              34,286         790       X        28-11135      790
                                                              14,105         325       X        28-4580       325
                                                             165,875       3,822       X      X 28-4580      3822
TRAVELCENTERS OF AMERICA LLC COM            894174101            472         208       X        28-5284       208
                                                              16,644       7,332       X      X 28-5284        20      7312
TREDEGAR CORP                COM            894650100          2,646         180       X        28-5284                          180
TRI CONTL CORP               COM            895436103         75,671       4,575       X        28-5284      4575
                                                             155,691       9,413       X      X 28-5284      9413
TRIAD GTY INC                COM            895925105            269         259       X      X 28-5284       259
   COLUMN TOTAL                                           20,265,479







                                                                                                                    FILE NO. 28-1235
PAGE 208 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
TRIARC COS INC               CL A           895927101            640         100       X        28-5284       100
TRIARC COS INC               CL B SER 1     895927309          1,266         200       X        28-5284       200
TRICO MARINE SERVICES INC    COM NEW        896106200          5,463         150       X      X 28-5284       150
TRIMAS CORP                  COM NEW        896215209        682,860     114,000       X      X 28-5284    114000
TRIMBLE NAVIGATION LTD       COM            896239100        187,068       5,240       X        28-5284      4300                940
                                                           1,078,140      30,200       X      X 28-5284     10850              19350
                                                               3,284          92       X        28-11135       92
TRIMERIS INC                 COM            896263100            708         150       X        28-5284       150
                                                                 175          37       X        28-11135       37
TRINITY INDS INC             COM            896522109         24,283         700       X        28-5284       700
                                                              55,504       1,600       X      X 28-5284      1600
                                                               5,897         170       X        28-11135      170
TRIUMPH GROUP INC NEW        COM            896818101         20,724         440       X        28-5284       300                140
                                                              51,998       1,104       X        28-11135     1104
TRONOX INC                   COM CL B       897051207            281          93       X        28-5284        93
                                                                 701         232       X      X 28-5284       232
TRUE RELIGION APPAREL INC    COM            89784N104          4,850         182       X        28-11135      182
TRUSTCO BK CORP N Y          COM            898349105         18,884       2,545       X        28-5284      2085                460
TRUSTMARK CORP               COM            898402102          8,825         500       X        28-5284       500
                                                               1,024          58       X        28-11135       58
TUMBLEWEED COMMUNICATIONS CO COM            899690101            968         371       X        28-11135      371
TUPPERWARE BRANDS CORP       COM            899896104        186,978       5,464       X        28-5284      5450                 14
                                                             116,896       3,416       X      X 28-5284      2750                666
                                                              65,566       1,916       X        28-11135     1916
TURKCELL ILETISIM HIZMETLERI SPON ADR NEW   900111204         14,550       1,000       X      X 28-5284      1000
TURKISH INVT FD INC          COM            900145103         65,600       5,000       X        28-5284      5000
21ST CENTY HLDG CO           COM            90136Q100        157,215      19,243       X      X 28-5284               19243
   COLUMN TOTAL                                            2,760,348







                                                                                                                    FILE NO. 28-1235
PAGE 209 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
II VI INC                    COM            902104108        115,236       3,300       X        28-5284      3300
                                                           3,070,725      87,936       X      X 28-5284     87936
TYSON FOODS INC              CL A           902494103         97,723       6,541       X        28-5284       541               6000
                                                              50,916       3,408       X      X 28-5284      3408
UAL CORP                     COM NEW        902549807            402          77       X      X 28-5284                  77
UCBH HOLDINGS INC            COM            90262T308          1,955         869       X        28-5284       149                720
UDR INC                      COM            902653104        447,600      20,000       X        28-5284     20000
                                                             261,510      11,685       X      X 28-5284     11685
UGI CORP NEW                 COM            902681105        265,166       9,236       X        28-5284      5486               3750
                                                             678,188      23,622       X      X 28-5284     23622
UIL HLDG CORP                COM            902748102          5,882         200       X        28-5284                          200
                                                               9,794         333       X      X 28-5284       333
UST INC                      COM            902911106        859,616      15,741       X        28-5284     15741
                                                             564,886      10,344       X      X 28-5284     10344
                                                              65,532       1,200       X        28-4580      1200
US BANCORP DEL               COM NEW        902973304     44,021,186   1,578,386       X        28-5284   1492246              86140
                                                          15,200,580     545,019       X      X 28-5284    439198      5490   100331
                                                             189,262       6,786       X        28-11135     6786
                                                              31,850       1,142       X        28-4580      1142
                                                             241,639       8,664       X      X 28-4580      8664
UQM TECHNOLOGIES INC         COM            903213106            660         300       X        28-5284       300
URS CORP NEW                 COM            903236107          8,394         200       X        28-5284       200
                                                              12,591         300       X      X 28-5284       300
                                                               3,148          75       X        28-11135       75
USANA HEALTH SCIENCES INC    COM            90328M107        206,899       7,700       X      X 28-5284                7700
USA TECHNOLOGIES INC         CONV PFD SER A 90328S203         41,000       4,000       X      X 28-5284                         4000
USA TECHNOLOGIES INC         COM NO PAR     90328S500          9,461       1,590       X        28-5284      1590
                                                               8,586       1,443       X      X 28-5284      1383                 60
   COLUMN TOTAL                                           66,470,387







                                                                                                                    FILE NO. 28-1235
PAGE 210 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
U S G CORP                   COM NEW        903293405         36,963       1,250       X        28-5284      1250
                                                              90,189       3,050       X      X 28-5284      1050               2000
USEC INC                     NOTE  3.000%10 90333EAC2     37,375,000     500,000       X      X 28-5284              500000
USEC INC                     COM            90333E108         10,385       1,708       X        28-5284      1708
                                                               6,080       1,000       X      X 28-5284      1000
U S AIRWAYS GROUP INC        COM            90341W108            833         333       X        28-5284       333
U S SHIPPING PARTNERS L P    COM UNIT       903417103             95          50       X      X 28-5284        50
ULTRA CLEAN HLDGS INC        COM            90385V107          4,776         600       X      X 28-5284       600
ULTRALIFE CORP               COM            903899102            748          70       X        28-11135       70
ULTRA PETROLEUM CORP         COM            903914109        210,737       2,146       X        28-5284      2146
                                                           1,428,515      14,547       X      X 28-5284      3797              10750
                                                               2,455          25       X        28-11135       25
ULTRATECH INC                COM            904034105          2,483         160       X        28-5284                          160
UMPQUA HLDGS CORP            COM            904214103          1,031          85       X        28-5284        85
UNDER ARMOUR INC             CL A           904311107         12,820         500       X        28-5284       100                400
                                                             112,816       4,400       X      X 28-5284      4400
UNIFIRST CORP MASS           COM            904708104          4,466         100       X        28-5284                          100
UNILEVER PLC                 SPON ADR NEW   904767704      5,181,927     182,398       X        28-5284    154251              28147
                                                           2,365,985      83,280       X      X 28-5284     58972              24308
                                                              30,342       1,068       X        28-11135     1068
                                                               3,324         117       X        28-4580       117
                                                              36,507       1,285       X      X 28-4580      1285
UNILEVER N V                 N Y SHS NEW    904784709      8,509,378     299,626       X        28-5284    287234              12392
                                                          12,918,280     454,869       X      X 28-5284    433938      5352    15579
                                                             145,436       5,121       X        28-11135     5121
                                                              73,613       2,592       X        28-4580      2292                300
                                                              74,465       2,622       X      X 28-4580      2622
UNION BANKSHARES INC         COM            905400107         80,200       4,000       X      X 28-5284      4000
   COLUMN TOTAL                                           68,719,849







                                                                                                                    FILE NO. 28-1235
PAGE 211 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
UNION DRILLING INC           COM            90653P105        671,538      30,975       X        28-11135    30975
UNION PAC CORP               COM            907818108     43,265,653     573,055       X        28-5284    539663              33392
                                                          30,521,177     404,254       X      X 28-5284    382609      3833    17812
                                                             170,404       2,257       X        28-11135     2257
                                                             213,288       2,825       X        28-4580      2825
                                                             496,790       6,580       X      X 28-4580      6580
UNIONBANCAL CORP             COM            908906100         88,560       2,191       X        28-5284                         2191
                                                             181,082       4,480       X        28-11135     4480
UNISOURCE ENERGY CORP        COM            909205106          8,373         270       X        28-5284                          270
                                                               4,341         140       X        28-11135      140
UNISYS CORP                  COM            909214108          5,925       1,500       X        28-5284      1500
                                                                 593         150       X      X 28-5284       150
UNIT CORP                    COM            909218109        362,579       4,370       X        28-5284      4000                370
                                                              10,869         131       X        28-11135      131
UNITED AMERN HEALTHCARE CORP COM            90934C105      1,841,586     920,793       X      X 28-5284              920793
UNITED CMNTY BKS BLAIRSVLE G CAP STK        90984P105        104,706      12,275       X        28-11135    12275
UNITED BANKSHARES INC WEST V COM            909907107        176,876       7,707       X        28-5284      7407                300
                                                              71,604       3,120       X      X 28-5284      3120
UNITED BANCORP INC OHIO      COM            909911109         39,934       4,100       X        28-5284      4100
UNITED DOMINION REALTY TR IN NOTE  4.000%12 910197AK8      2,001,997       2,000       X        28-11439     2000
UNITED DOMINION REALTY TR IN NOTE  3.625%   910197AM4      3,225,689       3,500       X        28-11439     3500
UNITED FIRE & CAS CO         COM            910331107          2,693         100       X      X 28-5284       100
UNITED MICROELECTRONICS CORP SPON ADR NEW   910873405          3,273       1,121       X        28-5284      1121
                                                                 301         103       X      X 28-5284       103
UNITED NAT FOODS INC         COM            911163103          6,428         330       X        28-5284        10                320
                                                             104,647       5,372       X        28-11135     5372
UNITED ONLINE INC            COM            911268100         88,966       8,870       X        28-5284      7270               1600
                                                             586,655      58,490       X      X 28-5284     27010     31005      475
   COLUMN TOTAL                                           84,256,527







                                                                                                                    FILE NO. 28-1235
PAGE 212 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
UNITED PARCEL SERVICE INC    CL B           911312106     61,558,763   1,001,444       X        28-5284    938908              62536
                                                          30,561,347     497,175       X      X 28-5284    483357       150    13668
                                                              28,030         456       X        28-11135      456
                                                              78,067       1,270       X        28-4580      1270
                                                           1,456,778      23,699       X      X 28-4580     23699
UNITED STATES CELLULAR CORP  COM            911684108          2,149          38       X        28-5284        38
UNITED STATES NATL GAS FUND  UNIT           912318102         44,079         700       X      X 28-5284       700
UNITED STATES OIL FUND LP    UNITS          91232N108        568,186       4,999       X        28-5284      4999
                                                                 568           5       X      X 28-5284         5
U STORE IT TR                COM            91274F104        234,698      19,640       X        28-5284     19640
                                                              10,038         840       X      X 28-5284       840
UNITED STATES STL CORP NEW   COM            912909108        918,911       4,973       X        28-5284      4923                 50
                                                             434,233       2,350       X      X 28-5284      2350
                                                             509,993       2,760       X        28-11135     2760
                                                              18,478         100       X        28-4580       100
                                                               9,239          50       X      X 28-4580        50
UNITED STATIONERS INC        COM            913004107          7,390         200       X        28-5284                          200
UNITED TECHNOLOGIES CORP     COM            913017109    117,362,470   1,902,147       X        28-5284   1819636              82511
                                                          91,919,179   1,489,776       X      X 28-5284   1346783     10426   132567
                                                             848,128      13,746       X        28-11135    13746
                                                           2,057,263      33,343       X        28-4580     32843                500
                                                           1,947,931      31,571       X      X 28-4580     31429                142
UNITED THERAPEUTICS CORP DEL COM            91307C102         29,325         300       X      X 28-5284       300
UNITEDHEALTH GROUP INC       COM            91324P102      5,610,124     213,719       X        28-5284    186299              27420
                                                           2,014,688      76,750       X      X 28-5284     58074              18676
                                                             401,126      15,281       X        28-11135    15281
                                                             227,063       8,650       X        28-4580      8650
UNITRIN INC                  COM            913275103         70,607       2,561       X        28-5284       261               2300
                                                               5,514         200       X      X 28-5284       200
UNIVERSAL CORP VA            COM            913456109         52,003       1,150       X      X 28-5284      1000                150
UNIVERSAL DISPLAY CORP       COM            91347P105         25,872       2,100       X        28-5284       100               2000
   COLUMN TOTAL                                          319,012,240







                                                                                                                    FILE NO. 28-1235
PAGE 213 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
UNIVERSAL FST PRODS INC      COM            913543104          4,794         160       X        28-5284                          160
UNIVERSAL HEALTH RLTY INCM T SH BEN INT     91359E105        142,500       4,750       X      X 28-5284      3400               1350
UNIVERSAL HLTH SVCS INC      CL B           913903100         37,932         600       X        28-5284       600
                                                              18,966         300       X      X 28-5284                          300
                                                                 632          10       X        28-11135       10
UNUM GROUP                   COM            91529Y106        637,365      31,167       X        28-5284      9088              22079
                                                             264,132      12,916       X      X 28-5284     12039                877
URBAN OUTFITTERS INC         COM            917047102      5,368,236     172,114       X        28-5284    124425              47689
                                                           4,532,656     145,324       X      X 28-5284    128589              16735
                                                             846,091      27,127       X        28-11135    27127
URSTADT BIDDLE PPTYS INS     COM            917286106          7,625         500       X      X 28-5284       500
URSTADT BIDDLE PPTYS INS     CL A           917286205         27,854       1,900       X        28-5284      1000                900
                                                              29,320       2,000       X      X 28-5284      2000
VCA ANTECH INC               COM            918194101        195,849       7,050       X        28-5284      1350               5700
                                                             115,287       4,150       X      X 28-5284      4150
V F CORP                     COM            918204108      1,027,839      14,440       X        28-5284     13040               1400
                                                        1517,558,169  21,320,008       X      X 28-5284  21319858                150
                                                             111,824       1,571       X        28-11135     1571
                                                          24,706,934     347,105       X      X 28-4580              347105
VIST FINANCIAL CORP          COM            918255100          7,115         500       X        28-5284       500
VAIL RESORTS INC             COM            91879Q109          4,626         108       X        28-5284       108
                                                              19,573         457       X        28-11135      457
VALHI INC NEW                COM            918905100         10,055         369       X        28-5284       369
VALENCE TECHNOLOGY INC       COM            918914102          8,860       2,000       X      X 28-5284      2000
VALEANT PHARMACEUTICALS INTL COM            91911X104          9,907         579       X        28-5284       579
VALE CAP LTD                 NT RIO CV VALE 91912C208      5,406,175      80,000       X        28-11439    80000
   COLUMN TOTAL                                        1,561,100,316







                                                                                                                    FILE NO. 28-1235
PAGE 214 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
VALERO ENERGY CORP NEW       COM            91913Y100        266,023       6,460       X        28-5284      6360                100
                                                           1,506,282      36,578       X      X 28-5284     33878               2700
                                                             468,587      11,379       X        28-11135    11379
                                                              33,191         806       X        28-4580       806
VALLEY NATL BANCORP          COM            919794107         97,222       6,165       X        28-5284      6165
VALMONT INDS INC             COM            920253101         30,244         290       X        28-5284       150                140
VALSPAR CORP                 COM            920355104      2,307,379     122,019       X        28-5284    110129              11890
                                                           1,050,337      55,544       X      X 28-5284     24259              31285
                                                              13,369         707       X        28-11135      707
VALUECLICK INC               COM            92046N102         42,299       2,792       X        28-5284      2792
                                                              21,255       1,403       X      X 28-5284      1403
                                                             228,856      15,106       X        28-11135    15106
VAN KAMPEN HIGH INCOME TR II SH BEN INT     920913100          7,785       2,359       X        28-5284      2359
VAN KAMPEN MUN TR            SH BEN INT     920919107         24,786       1,700       X        28-5284      1700
                                                              29,160       2,000       X      X 28-5284      2000
VAN KAMPEN TR INSD MUNS      COM            920928108         44,485       3,365       X      X 28-5284      3365
VAN KAMPEN TR INVT GRADE MUN COM            920929106         20,835       1,500       X      X 28-5284      1500
VAN KAMPEN MUN OPPORTUNITY T COM            920935103          4,155         300       X      X 28-5284       300
VAN KAMPEN BD FD             COM            920955101         43,212       2,600       X      X 28-5284                         2600
VAN KAMPEN SENIOR INCOME TR  COM            920961109         69,036      11,944       X        28-5284     11944
VAN KAMPEN SELECT SECTOR MUN COM            92112M103         34,890       3,000       X        28-5284      3000
VAN KAMPEN PA VALUE MUN INCO COM            92112T108        591,928      46,353       X        28-5284     46353
                                                             275,602      21,582       X      X 28-5284     21582
VAN KAMPEN DYNAMIC CR OPPORT COM            921166104         28,500       2,000       X        28-5284      2000
VANGUARD SPECIALIZED PORTFOL DIV APP ETF    921908844         20,450         409       X      X 28-5284       409
VANGUARD BD INDEX FD INC     LONG TERM BOND 921937793        210,421       2,815       X        28-11135     2815
   COLUMN TOTAL                                            7,470,289







                                                                                                                    FILE NO. 28-1235
PAGE 215 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
VANGUARD BD INDEX FD INC     SHORT TRM BOND 921937827        232,961       3,011       X        28-11135     3011
VANGUARD BD INDEX FD INC     TOTAL BND MRKT 921937835      1,776,168      23,294       X        28-5284     23294
                                                             261,766       3,433       X      X 28-5284      3433
VANGUARD TAX-MANAGED FD      EUROPE PAC ETF 921943858        653,824      15,230       X        28-5284     15230
                                                              94,017       2,190       X      X 28-5284      2190
                                                              94,060       2,191       X      X 28-4580      2191
VANGUARD WORLD FDS           CONSUM DIS ETF 92204A108      1,084,068      24,069       X        28-5284     24069
                                                             285,193       6,332       X      X 28-5284      6332
VANGUARD WORLD FDS           CONSUM STP ETF 92204A207      1,775,545      27,249       X        28-5284     27249
                                                           2,062,640      31,655       X      X 28-5284     31655
VANGUARD WORLD FDS           ENERGY ETF     92204A306        577,320       4,466       X        28-5284      4366                100
                                                             131,209       1,015       X      X 28-5284      1015
VANGUARD WORLD FDS           FINANCIALS ETF 92204A405        619,411      16,296       X        28-5284     16296
                                                              95,215       2,505       X      X 28-5284      2505
                                                              14,064         370       X        28-4580       370
VANGUARD WORLD FDS           HEALTH CAR ETF 92204A504        842,591      15,871       X        28-5284     15317                554
                                                              44,118         831       X      X 28-5284       831
                                                              63,708       1,200       X        28-4580      1200
                                                              39,818         750       X      X 28-4580       750
VANGUARD WORLD FDS           INDUSTRIAL ETF 92204A603      2,102,759      32,608       X        28-5284     32608
                                                           1,351,240      20,954       X      X 28-5284     20954
VANGUARD WORLD FDS           INF TECH ETF   92204A702      5,691,476     107,883       X        28-5284    107883
                                                           5,812,656     110,180       X      X 28-5284    110180
                                                             131,732       2,497       X        28-4580      2497
VANGUARD WORLD FDS           MATERIALS ETF  92204A801      3,310,568      36,780       X        28-5284     34470               2310
                                                           1,302,985      14,476       X      X 28-5284     14476
VANGUARD WORLD FDS           UTILITIES ETF  92204A876        495,858       5,908       X        28-5284      5908
                                                              11,582         138       X      X 28-5284       138
                                                              33,572         400       X      X 28-4580       400
VANGUARD WORLD FDS           TELCOMM ETF    92204A884        173,401       2,786       X        28-5284      2786
   COLUMN TOTAL                                           31,165,525







                                                                                                                    FILE NO. 28-1235
PAGE 216 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
VANGUARD INTL EQUITY INDEX F ALLWRLD EX US  922042775      1,361,528      25,665       X        28-5284     25665
                                                              88,275       1,664       X      X 28-5284      1664
                                                             238,088       4,488       X      X 28-4580      4488
VANGUARD INTL EQUITY INDEX F EMR MKT ETF    922042858     15,911,766     339,995       X        28-5284    324448              15547
                                                          18,797,080     401,647       X      X 28-5284    370447      1400    29800
                                                             602,924      12,883       X        28-11135    12883
                                                             164,549       3,516       X        28-4580      3516
                                                             508,997      10,876       X      X 28-4580     10876
VANGUARD INTL EQUITY INDEX F PACIFIC ETF    922042866      1,226,973      19,641       X        28-5284     18326               1315
                                                             135,185       2,164       X      X 28-5284      2164
                                                              43,479         696       X        28-4580       696
VANGUARD INTL EQUITY INDEX F EURPEAN ETF    922042874      1,927,753      29,382       X        28-5284     29382
                                                             466,881       7,116       X      X 28-5284      7116
VARIAN MED SYS INC           COM            92220P105      9,133,689     176,156       X        28-5284    167598               8558
                                                           3,028,247      58,404       X      X 28-5284     57504                900
                                                               1,296          25       X        28-11135       25
                                                              14,622         282       X        28-4580       282
                                                              51,850       1,000       X      X 28-4580      1000
VARIAN INC                   COM            922206107          5,106         100       X        28-5284       100
                                                              10,212         200       X      X 28-5284       200
VARIAN SEMICONDUCTOR EQUIPMN COM            922207105         38,232       1,098       X        28-5284       498                600
                                                              15,669         450       X      X 28-5284       450
                                                               1,985          57       X        28-11135       57
VASOGEN INC                  COM NEW        92232F202             33         110       X        28-5284       110
VECTREN CORP                 COM            92240G101        106,083       3,399       X        28-5284      3399
                                                             433,226      13,881       X      X 28-5284     13881
VECTOR GROUP LTD             COM            92240M108         17,711       1,098       X        28-5284      1098
VEECO INSTRS INC DEL         COM            922417100          3,698         230       X        28-5284                          230
VENTAS INC                   COM            92276F100        520,248      12,221       X        28-5284     12221
                                                              69,815       1,640       X      X 28-5284      1440                200
                                                               2,299          54       X        28-11135       54
   COLUMN TOTAL                                           54,927,499







                                                                                                                    FILE NO. 28-1235
PAGE 217 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
VANGUARD INDEX FDS           MCAP VL IDXVIP 922908512      1,548,274      32,249       X        28-5284     22902               9347
                                                           1,437,371      29,939       X      X 28-5284     28464       700      775
                                                              76,912       1,602       X      X 28-4580      1602
VANGUARD INDEX FDS           MCAP GR IDXVIP 922908538      2,079,314      34,188       X        28-5284     24216               9972
                                                           4,170,306      68,568       X      X 28-5284     30166       700    37702
VANGUARD INDEX FDS           REIT ETF       922908553         91,719       1,570       X        28-5284      1570
                                                             111,407       1,907       X      X 28-5284       579               1328
                                                              11,392         195       X      X 28-4580       195
VANGUARD INDEX FDS           SML CP GRW ETF 922908595      3,101,141      46,466       X        28-5284     44469               1997
                                                           4,759,496      71,314       X      X 28-5284      5998       400    64916
                                                                 334           5       X        28-4580         5
                                                              91,300       1,368       X      X 28-4580      1368
VANGUARD INDEX FDS           SM CP VAL ETF  922908611        825,542      14,187       X        28-5284     12248               1939
                                                             923,359      15,868       X      X 28-5284     13790       400     1678
                                                                 291           5       X        28-4580         5
                                                              70,875       1,218       X      X 28-4580      1218
VANGUARD INDEX FDS           MID CAP ETF    922908629      3,863,951      55,302       X        28-5284     51922               3380
                                                          15,117,423     216,365       X      X 28-5284     31313       600   184452
                                                              97,748       1,399       X        28-4580      1399
                                                             195,217       2,794       X      X 28-4580      2794
VANGUARD INDEX FDS           LARGE CAP ETF  922908637     15,227,791     262,684       X        28-5284    255439               7245
                                                          37,976,437     655,105       X      X 28-5284     43071             612034
                                                             951,693      16,417       X      X 28-4580     16417
VANGUARD INDEX FDS           EXTEND MKT ETF 922908652         29,250         600       X        28-5284       600
                                                              80,243       1,646       X      X 28-5284      1646
VANGUARD INDEX FDS           GROWTH ETF     922908736     15,108,425     255,253       X        28-5284    227825              27428
                                                          31,225,033     527,539       X      X 28-5284    100701     31449   395389
                                                              22,847         386       X      X 28-4580       386
VANGUARD INDEX FDS           VALUE ETF      922908744     14,853,550     265,479       X        28-5284    245182              20297
                                                           4,883,204      87,278       X      X 28-5284     70034     16580      664
                                                             182,509       3,262       X      X 28-4580      3262
   COLUMN TOTAL                                          159,114,354







                                                                                                                    FILE NO. 28-1235
PAGE 218 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
VANGUARD INDEX FDS           SMALL CP ETF   922908751      4,972,823      79,527       X        28-5284     77295               2232
                                                           8,760,015     140,093       X      X 28-5284     31752      4530   103811
                                                              93,983       1,503       X        28-4580      1503
                                                              96,859       1,549       X      X 28-4580      1549
VANGUARD INDEX FDS           STK MRK ETF    922908769     17,413,638     271,706       X        28-5284    270950                756
                                                           2,780,224      43,380       X      X 28-5284     42436       174      770
VEOLIA ENVIRONNEMENT         SPONSORED ADR  92334N103        107,455       1,924       X        28-5284       924               1000
                                                             569,670      10,200       X      X 28-5284      7200               3000
                                                                 279           5       X        28-11135        5
VERENIUM CORPORATION         COM            92340P100          2,248       1,165       X        28-5284      1165
VERIFONE HLDGS INC           COM            92342Y109          9,560         800       X        28-5284       800
                                                               2,390         200       X      X 28-5284       200
VERISIGN INC                 COM            92343E102         22,604         598       X        28-5284       598
                                                             132,300       3,500       X      X 28-5284      3500
VERIZON COMMUNICATIONS INC   COM            92343V104     69,359,114   1,959,297       X        28-5284   1877102              82195
                                                         110,340,101   3,116,952       X      X 28-5284   2575967      5138   535847
                                                           1,008,369      28,485       X        28-11135    28485
                                                             612,420      17,300       X        28-11439    17300
                                                           1,328,987      37,542       X        28-4580     37542
                                                           1,155,987      32,655       X      X 28-4580     31106       590      959
VERSAR INC                   COM            925297103         12,000       2,500       X      X 28-5284      2500
VERTEX PHARMACEUTICALS INC   COM            92532F100         71,626       2,140       X        28-5284      1800                340
VIAD CORP                    COM NEW        92552R406         13,849         537       X        28-5284       537
VIASAT INC                   COM            92552V100         19,200         950       X        28-5284       750                200
                                                               8,084         400       X      X 28-5284       400
VIACOM INC NEW               CL A           92553P102         54,241       1,772       X        28-5284      1385                387
                                                              37,956       1,240       X      X 28-5284       887                353
   COLUMN TOTAL                                          218,985,982







                                                                                                                    FILE NO. 28-1235
PAGE 219 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
VIACOM INC NEW               CL B           92553P201      1,670,569      54,701       X        28-5284     43873              10828
                                                           1,815,969      59,462       X      X 28-5284     43710       300    15452
                                                              18,721         613       X        28-11135      613
                                                               1,527          50       X        28-4580        50
                                                              30,540       1,000       X      X 28-4580      1000
VICAL INC                    COM            925602104          3,370       1,000       X        28-5284      1000
VICOR CORP                   COM            925815102          1,297         130       X        28-5284                          130
VILLAGE BK & TR FINANCIAL CO COM            92705T101        697,006      73,369       X      X 28-5284     73369
VIROPHARMA INC               COM            928241108            277          25       X        28-5284        25
                                                               2,212         200       X      X 28-5284       200
VISA INC                     COM CL A       92826C839      6,533,015      80,347       X        28-5284     75422               4925
                                                           2,761,532      33,963       X      X 28-5284     33363                600
                                                               7,643          94       X        28-11135       94
                                                              20,897         257       X        28-4580       257
VISHAY INTERTECHNOLOGY INC   COM            928298108         57,212       6,450       X        28-5284      6450
                                                              54,932       6,193       X      X 28-5284      6193
VISTEON CORP                 COM            92839U107             34          13       X        28-5284        13
                                                               1,220         464       X      X 28-5284       464
                                                               1,375         523       X        28-4580       523
VITAL IMAGES INC             COM            92846N104         12,440       1,000       X        28-5284      1000
VITAL SIGNS INC              COM            928469105          3,975          70       X        28-5284                           70
                                                              71,656       1,262       X        28-11135     1262
VMWARE INC                   CL A COM       928563402         27,469         510       X        28-5284       510
                                                               8,079         150       X      X 28-5284       150
VODAFONE GROUP PLC NEW       SPONS ADR NEW  92857W209      8,167,314     277,234       X        28-5284    231108              46126
                                                          11,089,392     376,422       X      X 28-5284    315100       612    60710
                                                             533,845      18,121       X        28-11135    18121
                                                              64,547       2,191       X        28-4580      2191
                                                              57,977       1,968       X      X 28-4580      1968
   COLUMN TOTAL                                           33,716,042







                                                                                                                    FILE NO. 28-1235
PAGE 220 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
VOCUS INC                    COM            92858J108        482,550      15,000       X        28-5284                        15000
VOLT INFORMATION SCIENCES IN COM            928703107          1,251         105       X        28-5284                          105
VONAGE HLDGS CORP            COM            92886T201          1,182         712       X        28-5284       712
VORNADO RLTY TR              SH BEN INT     929042109      1,507,440      17,130       X        28-5284     16930                200
                                                             307,384       3,493       X      X 28-5284      3493
VORNADO RLTY TR              PFD CONV SER A 929042208         61,500         500       X        28-5284                          500
VULCAN MATLS CO              COM            929160109         51,590         863       X        28-5284       563                300
                                                             597,561       9,996       X      X 28-5284      7066               2930
W & T OFFSHORE INC           COM            92922P106          4,388          75       X        28-11135       75
WCI CMNTYS INC               COM            92923C104          5,510       3,800       X        28-5284      3800
WD-40 CO                     COM            929236107          3,803         130       X        28-5284                          130
                                                              29,250       1,000       X      X 28-5284      1000
                                                             418,655      14,313       X        28-11135    14313
WGL HLDGS INC                COM            92924F106        149,973       4,317       X        28-5284      3517                800
                                                             493,864      14,216       X      X 28-5284      7116               7100
W-H ENERGY SVCS INC          COM            92925E108          2,585          27       X        28-5284        27
                                                                 191           2       X      X 28-5284         2
W HLDG CO INC                COM            929251106          1,025       1,206       X        28-5284      1206
                                                                  67          79       X        28-11135       79
WABCO HLDGS INC              COM            92927K102          1,533          33       X        28-5284        33
                                                             124,931       2,689       X      X 28-5284      2689
WMS INDS INC                 COM            929297109         17,862         600       X        28-5284       600
                                                             132,477       4,450       X      X 28-5284      4450
W P CAREY & CO LLC           COM            92930Y107        994,457      34,638       X        28-5284     34138                500
                                                             653,497      22,762       X      X 28-5284     21262               1500
WPP GROUP PLC                SPON ADR 0905  929309409         12,242         256       X        28-5284       256
                                                               9,134         191       X      X 28-5284       191
                                                              16,880         353       X        28-11135      353
   COLUMN TOTAL                                            6,082,782







                                                                                                                    FILE NO. 28-1235
PAGE 221 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
WSFS FINL CORP               COM            929328102         22,300         500       X        28-5284       500
                                                              11,551         259       X        28-4580       259
WSB HOLDINGS INC             COM            92934C101         13,125       2,500       X      X 28-5284      2500
WVS FINL CORP                COM            929358109         31,800       2,000       X        28-5284      2000
WABASH NATL CORP             COM            929566107          1,512         200       X        28-5284                          200
WABTEC CORP                  COM            929740108      3,089,801      63,550       X        28-5284      1900              61650
                                                           9,201,092     189,245       X      X 28-5284     40040             149205
                                                              98,699       2,030       X        28-11135     2030
                                                          13,001,085     267,402       X        28-4580    267402
WACHOVIA CORP NEW            COM            929903102     21,091,604   1,358,120       X        28-5284   1239721             118399
                                                          17,948,953   1,155,760       X      X 28-5284   1052694      2895   100171
                                                             373,993      24,082       X        28-11135    24082
                                                             420,335      27,066       X        28-4580     27066
                                                             232,049      14,942       X      X 28-4580     14942
WADDELL & REED FINL INC      CL A           930059100        171,899       4,910       X        28-5284      4910
                                                             689,382      19,691       X      X 28-5284                        19691
                                                             317,086       9,057       X        28-11135     9057
WAL MART STORES INC          COM            931142103     93,353,651   1,661,097       X        28-5284   1566832              94265
                                                          59,642,700   1,061,258       X      X 28-5284    980169      6407    74682
                                                             553,458       9,848       X        28-11135     9848
                                                           1,550,670      27,592       X        28-4580     27392                200
                                                             523,278       9,311       X      X 28-4580      8955                356
WALGREEN CO                  COM            931422109     16,573,891     509,809       X        28-5284    473891              35918
                                                          11,349,859     349,119       X      X 28-5284    318800       300    30019
                                                              65,248       2,007       X        28-11135     2007
                                                             173,929       5,350       X        28-4580      5350
                                                              78,024       2,400       X      X 28-4580      2400
WALTER INDS INC              COM            93317Q105         10,877         100       X        28-5284       100
                                                              62,543         575       X      X 28-5284       575
WARNACO GROUP INC            COM NEW        934390402        162,795       3,694       X        28-5284                         3694
                                                              81,926       1,859       X        28-11135     1859
   COLUMN TOTAL                                          250,899,115







                                                                                                                    FILE NO. 28-1235
PAGE 222 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
WARNER MUSIC GROUP CORP      COM            934550104          1,021         143       X        28-5284       143
WASHINGTON MUT INC           COM            939322103        819,001     166,126       X        28-5284    153157              12969
                                                             418,730      84,935       X      X 28-5284     77965      3470     3500
                                                             365,550      74,148       X        28-11135    74148
                                                              21,076       4,275       X        28-4580      4275
                                                              12,325       2,500       X      X 28-4580      2500
WASHINGTON POST CO           CL B           939640108        310,470         529       X        28-5284       249                280
                                                           1,360,434       2,318       X      X 28-5284      1900                418
                                                              15,846          27       X        28-11135       27
WASHINGTON REAL ESTATE INVT  SH BEN INT     939653101        136,728       4,550       X        28-5284      1900               2650
                                                             242,654       8,075       X      X 28-5284      7675                400
                                                              75,125       2,500       X      X 28-4580      2500
WASHINGTON TR BANCORP        COM            940610108         80,672       4,095       X      X 28-5284      4095
WASTE CONNECTIONS INC        COM            941053100         18,296         573       X        28-5284        78                495
                                                              16,412         514       X        28-11135      514
WASTE MGMT INC DEL           COM            94106L109      2,279,456      60,447       X        28-5284     36847              23600
                                                           1,347,944      35,745       X      X 28-5284     17195              18550
                                                           1,029,483      27,300       X        28-11135    27300
                                                               3,168          84       X      X 28-4580        84
WASTE SERVICES INC DEL       COM NEW        941075202          4,456         633       X        28-5284       633
WATERS CORP                  COM            941848103        867,332      13,447       X        28-5284     11347               2100
                                                           2,405,528      37,295       X      X 28-5284     35144      1031     1120
                                                             180,794       2,803       X        28-11135     2803
                                                              93,009       1,442       X      X 28-4580      1442
WATSCO INC                   COM            942622200          8,778         210       X        28-5284                          210
                                                               1,672          40       X        28-11135       40
WATSON PHARMACEUTICALS INC   COM            942683103          1,712          63       X        28-5284        63
                                                              17,661         650       X      X 28-5284                          650
WATSON WYATT WORLDWIDE INC   CL A           942712100        158,353       2,994       X      X 28-5284                         2994
                                                              76,003       1,437       X        28-11135     1437
   COLUMN TOTAL                                           12,369,689







                                                                                                                    FILE NO. 28-1235
PAGE 223 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
WATTS WATER TECHNOLOGIES INC CL A           942749102          6,225         250       X        28-5284                          250
                                                              12,450         500       X      X 28-5284       500
WAYSIDE TECHNOLOGY GROUP INC COM            946760105         78,200      10,000       X        28-5284     10000
WEBMD HEALTH CORP            CL A           94770V102        153,450       5,500       X      X 28-5284      5500
WEBSTER FINL CORP CONN       COM            947890109         14,694         790       X        28-5284        86                704
                                                              72,689       3,908       X      X 28-5284      3908
WEIGHT WATCHERS INTL INC NEW COM            948626106            819          23       X        28-5284        23
WEINGARTEN RLTY INVS         SH BEN INT     948741103      1,059,836      34,955       X        28-5284     34955
                                                           2,234,675      73,703       X      X 28-5284     24955              48748
                                                               3,972         131       X        28-4580       131
WEIS MKTS INC                COM            948849104        465,750      14,344       X        28-5284     14344
                                                               8,118         250       X      X 28-5284       250
WELLCARE HEALTH PLANS INC    COM            94946T106          5,278         146       X        28-11135      146
WELLPOINT INC                COM            94973V107      7,304,658     153,266       X        28-5284    150067               3199
                                                           4,719,198      99,018       X      X 28-5284     81573       580    16865
                                                             385,808       8,095       X        28-11135     8095
                                                             123,916       2,600       X        28-4580      2600
                                                              40,511         850       X      X 28-4580       850
WELLS FARGO & CO NEW         COM            949746101     61,318,510   2,581,832       X        28-5284   2502797              79035
                                                          79,906,543   3,364,486       X      X 28-5284   3218677     18450   127359
                                                              44,270       1,864       X        28-11135     1864
                                                             868,989      36,589       X        28-4580     36589
                                                             585,034      24,633       X      X 28-4580     24633
WENDYS INTL INC              COM            950590109         62,361       2,291       X        28-5284      2291
                                                               8,166         300       X      X 28-5284                          300
WERNER ENTERPRISES INC       COM            950755108          1,208          65       X        28-11135       65
WESBANCO INC                 COM            950810101        962,990      56,151       X        28-5284     56151
                                                             312,473      18,220       X      X 28-5284     18220
WESCO INTL INC               COM            95082P105        200,600       5,010       X        28-5284      5010
                                                             318,959       7,966       X        28-11135     7966
   COLUMN TOTAL                                          161,280,350







                                                                                                                    FILE NO. 28-1235
PAGE 224 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
WEST PHARMACEUTICAL SVSC INC COM            955306105        220,728       5,100       X        28-5284      5100
                                                              28,998         670       X      X 28-5284                          670
WESTAR ENERGY INC            COM            95709T100         26,350       1,225       X        28-5284      1225
                                                              17,208         800       X      X 28-5284       800
WESTAMERICA BANCORPORATION   COM            957090103         20,510         390       X        28-5284       390
WESTERN ASSET GLB HI INCOME  COM            95766B109         83,091       7,506       X      X 28-5284                         7506
WESTERN ASSET HIGH INCM FD I COM            95766J102         19,100       2,000       X        28-5284      2000
                                                               9,550       1,000       X      X 28-5284      1000
WESTERN ASST MNG MUN FD INC  COM            95766M105         54,400       5,000       X      X 28-5284      5000
WESTERN ASSET CLYM INFL SEC  COM SH BEN INT 95766Q106        133,812      10,800       X      X 28-5284                        10800
WESTERN ASSET CLYM INFL OPP  COM            95766R104        157,056      12,800       X      X 28-5284                        12800
WESTERN ASSET INCOME FD      COM            95766T100         19,710       1,500       X      X 28-5284                         1500
WESTERN ASSET INFL MGMT FD I COM            95766U107         94,292       5,586       X        28-5284      5586
                                                             216,081      12,801       X      X 28-5284                        12801
WESTERN ASSET PREMIER BD FD  SHS BEN INT    957664105        104,701       8,554       X      X 28-5284       354               8200
WESTERN ASSET VAR RT STRG FD COM            957667108        402,840      27,000       X      X 28-5284                        27000
WESTERN DIGITAL CORP         COM            958102105      2,989,331      86,572       X        28-5284     84752               1820
                                                           1,541,350      44,638       X      X 28-5284     44638
                                                               4,040         117       X        28-11135      117
                                                              12,155         352       X        28-4580       352
WESTERN REFNG INC            COM            959319104          1,184         100       X      X 28-5284       100
WESTERN UN CO                COM            959802109      2,141,716      86,639       X        28-5284     85646                993
                                                           3,215,479     130,076       X      X 28-5284    127541               2535
                                                               7,713         312       X        28-11135      312
                                                              63,036       2,550       X        28-4580      2550
                                                              23,064         933       X      X 28-4580       933
WESTFIELD FINANCIAL INC NEW  COM            96008P104         54,300       6,000       X        28-5284      6000
   COLUMN TOTAL                                           11,661,795







                                                                                                                    FILE NO. 28-1235
PAGE 225 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
WESTPAC BKG CORP             SPONSORED ADR  961214301         30,683         322       X        28-5284       322
                                                              22,298         234       X        28-11135      234
WESTWOOD ONE INC             COM            961815107            826         666       X        28-5284       666
                                                              49,600      40,000       X      X 28-5284               40000
WEYERHAEUSER CO              COM            962166104        696,322      13,616       X        28-5284      9416               4200
                                                           1,247,663      24,397       X      X 28-5284     21647       250     2500
WHIRLPOOL CORP               COM            963320106        304,329       4,930       X        28-5284      3838               1092
                                                             281,489       4,560       X      X 28-5284      2455               2105
                                                               1,790          29       X        28-11135       29
WHITING PETE CORP NEW        COM            966387102          2,228          21       X        28-5284        21
                                                              84,864         800       X      X 28-5284       800
WHITNEY HLDG CORP            COM            966612103          9,278         507       X        28-5284                          507
                                                             109,635       5,991       X      X 28-5284      5991
                                                             527,461      28,823       X        28-11135    28823
WHOLE FOODS MKT INC          COM            966837106      1,519,500      64,141       X        28-5284     45493              18648
                                                           1,667,492      70,388       X      X 28-5284     28793     19500    22095
                                                              33,166       1,400       X        28-4580      1400
                                                               2,369         100       X      X 28-4580       100
WILEY JOHN & SONS INC        CL A           968223206        330,295       7,335       X        28-5284      7335
                                                              27,693         615       X        28-11135      615
                                                              91,096       2,023       X      X 28-4580      2023
WILLIAMS COAL SEAM GAS RTY T TR UNIT        969450105         16,085       1,477       X        28-5284      1477
WILLIAMS COS INC DEL         COM            969457100        777,822      19,296       X        28-5284     17196               2100
                                                           1,004,364      24,916       X      X 28-5284     20011               4905
                                                             493,032      12,231       X        28-11135    12231
WILLIAMS CLAYTON ENERGY INC  COM            969490101         43,980         400       X      X 28-5284       400
WILLIAMS PARTNERS L P        COM UNIT L P   96950F104         32,850       1,000       X      X 28-5284      1000
WILLIAMS SONOMA INC          COM            969904101         49,203       2,480       X        28-5284      2480
   COLUMN TOTAL                                            9,457,413







                                                                                                                    FILE NO. 28-1235
PAGE 226 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
WILMINGTON TRUST CORP        COM            971807102      1,304,179      49,326       X        28-5284     49226                100
                                                             754,624      28,541       X      X 28-5284     18341              10200
                                                           1,331,439      50,357       X        28-4580     50357
                                                           2,765,888     104,610       X      X 28-4580    102381               2229
WILSHIRE BANCORP INC         COM            97186T108         17,140       2,000       X        28-5284      2000
WIMM BILL DANN FOODS OJSC    SPONSORED ADR  97263M109          5,261          50       X        28-5284        50
                                                                 842           8       X        28-11135        8
WIND RIVER SYSTEMS INC       COM            973149107          7,079         650       X        28-5284       650
WINDSTREAM CORP              COM            97381W104      1,659,125     134,451       X        28-5284    106269              28182
                                                           1,633,828     132,401       X      X 28-5284    119654       155    12592
                                                                 383          31       X        28-11135       31
                                                              14,882       1,206       X      X 28-4580      1206
WINNEBAGO INDS INC           COM            974637100          2,446         240       X        28-5284                          240
                                                              18,342       1,800       X      X 28-5284      1800
WINTHROP RLTY TR             SH BEN INT     976391102        174,769      48,547       X      X 28-5284                        48547
WISCONSIN ENERGY CORP        COM            976657106        217,011       4,799       X        28-5284      4099                700
                                                             786,511      17,393       X      X 28-5284     15093               2300
                                                               3,030          67       X        28-11135       67
WISDOMTREE TRUST             LARGECAP DIVID 97717W307     58,324,683   1,226,339       X        28-5284   1223789               2550
                                                             288,784       6,072       X      X 28-5284      3822               2250
                                                           1,339,908      28,173       X        28-4580     28173
                                                             576,047      12,112       X      X 28-4580     12112
WISDOMTREE TRUST             INDIA ERNGS FD 97717W422         23,114       1,270       X      X 28-5284      1074                196
WISDOMTREE TRUST             MIDCAP DIVI FD 97717W505      1,657,406      36,180       X      X 28-5284     36180
WISDOMTREE TRUST             INTL BAS MATER 97717W752          9,548         248       X        28-5284       248
WISDOMTREE TRUST             INTL SMCAP DIV 97717W760        745,781      13,195       X        28-5284     13195
                                                              19,782         350       X      X 28-5284       350
WISDOMTREE TRUST             INTL DV TOP100 97717W786        298,908       5,006       X        28-5284      5006
WISDOMTREE TRUST             DEFA HG YLD EQ 97717W802         14,135         250       X      X 28-5284       250
   COLUMN TOTAL                                           73,994,875







                                                                                                                    FILE NO. 28-1235
PAGE 227 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
WOLVERINE WORLD WIDE INC     COM            978097103         10,801         405       X        28-5284                          405
                                                              13,068         490       X        28-11135      490
WOODWARD GOVERNOR CO         COM            980745103         16,404         460       X        28-5284                          460
                                                             871,530      24,440       X      X 28-5284     22440               2000
WORLD ACCEP CORP DEL         COM            981419104          1,010          30       X        28-5284        30
WORLD WRESTLING ENTMT INC    CL A           98156Q108          5,879         380       X      X 28-5284       380
WORTHINGTON INDS INC         COM            981811102        349,976      17,072       X        28-5284      7002              10070
                                                           1,079,489      52,658       X      X 28-5284     52158                500
WRIGHT MED GROUP INC         COM            98235T107         48,297       1,700       X      X 28-5284      1700
WRIGLEY WM JR CO             COM            982526105      5,852,167      75,240       X        28-5284     75240
                                                           6,774,482      87,098       X      X 28-5284     84136       650     2312
                                                                 933          12       X        28-11135       12
                                                             731,754       9,408       X        28-4580      9408
                                                              31,112         400       X      X 28-4580       400
WYETH                        COM            983024100    121,128,352   2,525,612       X        28-5284   2443216       690    81706
                                                         133,490,185   2,783,365       X      X 28-5284   2440394     16835   326136
                                                             949,560      19,799       X        28-11135    19799
                                                           2,523,607      52,619       X        28-4580     52396                223
                                                           3,854,018      80,359       X      X 28-4580     78066               2293
WYNDHAM WORLDWIDE CORP       COM            98310W108         32,722       1,827       X        28-5284      1827
                                                             158,432       8,846       X      X 28-5284      1906               6940
                                                               1,504          84       X        28-11135       84
WYNN RESORTS LTD             COM            983134107          1,790          22       X        28-5284        22
                                                               8,135         100       X      X 28-5284       100
XM SATELLITE RADIO HLDGS INC CL A           983759101         34,339       4,380       X        28-5284      4380
                                                              27,440       3,500       X      X 28-5284       500      1000     2000
XTO ENERGY INC               COM            98385X106     54,183,189     790,880       X        28-5284    752076              38804
                                                          19,913,117     290,660       X      X 28-5284    267863      6479    16318
                                                             202,242       2,952       X        28-11135     2952
                                                             920,706      13,439       X        28-4580     13439
                                                             135,787       1,982       X      X 28-4580      1982
   COLUMN TOTAL                                          353,352,027







                                                                                                                    FILE NO. 28-1235
PAGE 228 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
X-RITE INC                   COM            983857103          2,560       1,000       X      X 28-5284                         1000
XCEL ENERGY INC              COM            98389B100      3,526,741     175,722       X        28-5284    143441              32281
                                                           4,135,865     206,072       X      X 28-5284    158277              47795
                                                              80,280       4,000       X      X 28-4580      4000
XILINX INC                   COM            983919101        359,282      14,229       X        28-5284     13229               1000
                                                              20,200         800       X      X 28-5284       800
                                                             777,953      30,810       X        28-11135    30810
XEROX CORP                   COM            984121103        180,375      13,302       X        28-5284      8302               5000
                                                             152,089      11,216       X      X 28-5284     10466                750
                                                             733,759      54,112       X        28-11135    54112
                                                              68,017       5,016       X        28-4580      5016
YRC WORLDWIDE INC            COM            984249102         35,688       2,400       X        28-5284      2400
                                                                 565          38       X        28-11135       38
YAHOO INC                    COM            984332106      1,584,167      76,678       X        28-5284     52520              24158
                                                             667,690      32,318       X      X 28-5284     23513               8805
                                                               1,859          90       X        28-11135       90
YAMANA GOLD INC              COM            98462Y100         33,080       2,000       X        28-5284      2000
                                                             102,548       6,200       X      X 28-5284      6200
YANZHOU COAL MNG CO LTD      SPON ADR H SHS 984846105        188,717       2,029       X        28-5284      2029
YORK WTR CO                  COM            987184108          2,186         150       X        28-5284       150
                                                               4,371         300       X      X 28-5284       300
YOUBET COM INC               COM            987413101      3,198,600   2,518,583       X      X 28-5284             2518583
YUM BRANDS INC               COM            988498101      6,732,543     191,865       X        28-5284    185720               6145
                                                           5,011,133     142,808       X      X 28-5284    128230              14578
                                                                 842          24       X        28-11135       24
                                                              21,931         625       X        28-4580       625
ZALE CORP NEW                COM            988858106          6,989         370       X        28-5284                          370
ZEBRA TECHNOLOGIES CORP      CL A           989207105         53,530       1,640       X        28-5284      1640
   COLUMN TOTAL                                           27,683,560







                                                                                                                    FILE NO. 28-1235
PAGE 229 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                     ITEM 6:
                                                                       ITEM 5:     INVESTMENT                      ITEM 8:
                                             ITEM 3:      ITEM 4:     SHARES OR    DISCRETION    ITEM 7:       VOTING AUTHORITY
            ITEM 1:             ITEM 2:      CUSIP      FAIR MARKET   PRINCIPAL    (B)SHARED    MANAGERS          (SHARES)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER        VALUE       AMOUNT    (A)SOLE (C)OTH INSTR V  (A)SOLE  (B)SHARED  (C)NONE
---------------------------- -------------- --------- -------------- ----------- ------- ------ -------- -------- --------- --------
                                                                                              
ZENITH NATL INS CORP         COM            989390109         10,900         310       X        28-5284                          310
                                                              14,099         401       X        28-11135      401
ZILOG INC                    COM PAR $0.01  989524301        390,920     123,709       X      X 28-5284              123709
ZIMMER HLDGS INC             COM            98956P102     17,801,472     261,594       X        28-5284    256672               4922
                                                          18,335,800     269,446       X      X 28-5284    241379       901    27166
                                                             851,850      12,518       X        28-11135    12518
                                                             233,412       3,430       X        28-4580      3430
                                                             646,271       9,497       X      X 28-4580      9346       151
ZIONS BANCORPORATION         COM            989701107         16,973         539       X        28-5284       339                200
                                                              69,908       2,220       X      X 28-5284       500               1720
ZORAN CORP                   COM            98975F101          2,925         250       X        28-5284       250
                                                                 491          42       X        28-11135       42
ZOLTEK COS INC               COM            98975W104         24,250       1,000       X        28-5284      1000
ZWEIG FD                     COM            989834106         25,581       5,537       X      X 28-5284       405               5132
ZWEIG TOTAL RETURN FD INC    COM            989837109         68,404      15,476       X      X 28-5284     10263               5213
ZOLL MED CORP                COM            989922109         47,138       1,400       X        28-5284      1400
                                                               1,616          48       X        28-11135       48
   COLUMN TOTAL                                           38,542,010







                                                                                                                    FILE NO. 28-1235
PAGE 230 OF 255                  FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.          AS OF 07/31/08

                                                                                     ITEM 6:
                                                                      ITEM 5:      INVESTMENT                    ITEM 8:
                                             ITEM 3:      ITEM 4:    SHARES OR     DISCRETION    ITEM 7: VOTING AUTHORITY (SHARES)
            ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL     (B)SHARED    MANAGERS          (B)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER       VALUE       AMOUNT   (A)SOLE   (C)OTH INSTR V  (A)SOLE SHARED  (C)NONE
---------------------------- -------------- --------- ------------- ---------- -------   ------ -------- ------- ------ ----------
                                                                                          
ACCENTURE LTD BERMUDA        CL A           G1150G111     8,585,242    210,836         X        28-12474                   210,836
                                                             23,495        577         X        28-12474                       577
INGERSOLL-RAND COMPANY LTD   CL A           G4776G101       241,049      6,440         X        28-12474                     6,440
NABORS INDUSTRIES LTD        SHS            G6359F103     4,251,011     86,350         X        28-12474                    86,350
SEAGATE TECHNOLOGY           SHS            G7945J104       211,195     11,040         X        28-12474                    11,040
TRANSOCEAN INC NEW           SHS            G90073100    16,065,563    105,424         X        28-12474                   105,424
                                                             21,487        141         X        28-12474                       141
TYCO INTL LTD BERMUDA        SHS            G9143X208     1,966,925     49,124         X        28-12474                    49,124
WEATHERFORD INTERNATIONAL LT COM            G95089101     8,012,108    161,567         X        28-12474                   161,567
                                                             16,960        342         X        28-12474                       342
ALCON INC                    COM SHS        H01301102     7,881,966     48,418         X        28-12474                    48,418
                                                              3,907         24         X        28-12474                        24
FLEXTRONICS INTL LTD         ORD            Y2573F102     6,450,017    686,172         X        28-12474                   686,172
ABB LTD                      SPONSORED ADR  000375204     7,129,503    251,748         X        28-12474                   251,748
                                                             19,541        690         X        28-12474                       690
AFLAC INC                    COM            001055102       268,030      4,268         X        28-12474                     4,268
AMB PROPERTY CORP            COM            00163T109       469,038      9,310         X        28-12474                     9,310
AT&T INC                     COM            00206R102    23,492,475    697,313         X        28-12474                   697,313
                                                              7,109        211         X        28-12474                       211
ABERCROMBIE & FITCH CO       CL A           002896207     5,572,753     88,908         X        28-12474                    88,908
                                                             10,844        173         X        28-12474                       173
AIR PRODS & CHEMS INC        COM            009158106     2,740,696     27,723         X        28-12474                    27,723
AKAMAI TECHNOLOGIES INC      COM            00971T101       891,181     25,616         X        28-12474                    25,616
ALASKA AIR GROUP INC         COM            011659109       811,670     52,912         X        28-12474                    52,912
ALCOA INC                    COM            013817101         2,066         58         X        28-12474                        58
               COLUMN TOTAL                              95,145,831








                                                                                                                    FILE NO. 28-1235
PAGE 231 OF 255                  FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.          AS OF 07/31/08

                                                                                     ITEM 6:
                                                                      ITEM 5:      INVESTMENT                    ITEM 8:
                                             ITEM 3:      ITEM 4:    SHARES OR     DISCRETION    ITEM 7: VOTING AUTHORITY (SHARES)
            ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL     (B)SHARED    MANAGERS          (B)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER       VALUE       AMOUNT   (A)SOLE   (C)OTH INSTR V  (A)SOLE SHARED  (C)NONE
---------------------------- -------------- --------- ------------- ---------- -------   ------ -------- ------- ------ ----------
                                                                                          
ALEXANDRIA REAL ESTATE EQ IN COM            015271109       979,240     10,060         X        28-12474                    10,060
ALLEGHENY TECHNOLOGIES INC   COM            01741R102         8,418        142         X        28-12474                       142
ALLERGAN INC                 COM            018490102     2,283,173     43,865         X        28-12474                    43,865
                                                             16,604        319         X        28-12474                       319
ALLSTATE CORP                COM            020002101       628,230     13,780         X        28-12474                    13,780
ALTRIA GROUP INC             COM            02209S103     1,861,153     90,523         X        28-12474                    90,523
AMERICA MOVIL SAB DE CV      SPON ADR L SHS 02364W105         9,601        182         X        28-12474                       182
AMERICAN CAMPUS CMNTYS INC   COM            024835100       351,564     12,628         X        28-12474                    12,628
AMERICAN ELEC PWR INC        COM            025537101       407,932     10,140         X        28-12474                    10,140
AMERICAN EXPRESS CO          COM            025816109        14,729        391         X        28-12474                       391
AMERICAN INTL GROUP INC      COM            026874107    10,761,811    406,720         X        28-12474                   406,720
AMERICAN TOWER CORP          CL A           029912201     1,205,773     28,539         X        28-12474                    28,539
                                                              8,788        208         X        28-12474                       208
AMGEN INC                    COM            031162100     6,487,094    137,555         X        28-12474                   137,555
AMPHENOL CORP NEW            CL A           032095101     4,094,941     91,242         X        28-12474                    91,242
                                                             16,157        360         X        28-12474                       360
ANNALY CAP MGMT INC          COM            035710409       498,026     32,110         X        28-12474                    32,110
ANTHRACITE CAP INC           COM            037023108       371,360     52,750         X        28-12474                    52,750
APACHE CORP                  COM            037411105           139          1         X        28-12474                         1
APARTMENT INVT & MGMT CO     CL A           03748R101         9,230        271         X        28-12474                       271
APPLE INC                    COM            037833100    15,663,510     93,547         X        28-12474                    93,547
                                                             36,669        219         X        28-12474                       219
ARCHER DANIELS MIDLAND CO    COM            039483102         1,215         36         X        28-12474                        36
ASHFORD HOSPITALITY TR INC   COM SHS        044103109       158,004     34,200         X        28-12474                    34,200
               COLUMN TOTAL                              45,873,361








                                                                                                                    FILE NO. 28-1235
PAGE 232 OF 255                  FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.          AS OF 07/31/08

                                                                                     ITEM 6:
                                                                      ITEM 5:      INVESTMENT                    ITEM 8:
                                             ITEM 3:      ITEM 4:    SHARES OR     DISCRETION    ITEM 7: VOTING AUTHORITY (SHARES)
            ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL     (B)SHARED    MANAGERS          (B)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER       VALUE       AMOUNT   (A)SOLE   (C)OTH INSTR V  (A)SOLE SHARED  (C)NONE
---------------------------- -------------- --------- ------------- ---------- -------   ------ -------- ------- ------ ----------
                                                                                          
ASSOCIATED BANC CORP         COM            045487105         3,858        200         X        28-12474                       200
ATMOS ENERGY CORP            COM            049560105       136,747      4,960         X        28-12474                     4,960
AUTODESK INC                 COM            052769106        11,834        350         X        28-12474                       350
AUTOLIV INC                  COM            052800109       125,874      2,700         X        28-12474                     2,700
AVERY DENNISON CORP          COM            053611109     1,754,872     39,947         X        28-12474                    39,947
BJ SVCS CO                   COM            055482103       979,025     30,652         X        28-12474                    30,652
BP PLC                       SPONSORED ADR  055622104     8,026,500    115,373         X        28-12474                   115,373
BRE PROPERTIES INC           CL A           05564E106        35,706        825         X        28-12474                       825
BANK OF AMERICA CORPORATION  COM            060505104    12,635,537    529,348         X        28-12474                   529,348
                                                              2,363         99         X        28-12474                        99
BANK OF NEW YORK MELLON CORP COM            064058100     8,943,769    236,420         X        28-12474                   236,420
                                                             10,819        286         X        28-12474                       286
BARD C R INC                 COM            067383109     6,607,596     75,129         X        28-12474                    75,129
                                                              3,254         37         X        28-12474                        37
BAXTER INTL INC              COM            071813109    14,021,467    219,291         X        28-12474                   219,291
                                                             27,750        434         X        28-12474                       434
BECTON DICKINSON & CO        COM            075887109     7,281,635     89,565         X        28-12474                    89,565
                                                             16,016        197         X        28-12474                       197
BEST BUY INC                 COM            086516101     2,407,482     60,795         X        28-12474                    60,795
BLACK & DECKER CORP          COM            091797100       162,753      2,830         X        28-12474                     2,830
BOEING CO                    COM            097023105       157,728      2,400         X        28-12474                     2,400
BOSTON PROPERTIES INC        COM            101121101     2,543,302     28,190         X        28-12474                    28,190
BOSTON SCIENTIFIC CORP       COM            101137107     5,551,651    451,721         X        28-12474                   451,721
BRANDYWINE RLTY TR           SH BEN INT NEW 105368203       165,165     10,480         X        28-12474                    10,480
               COLUMN TOTAL                              71,612,703










                                                                                                                    FILE NO. 28-1235
PAGE 233 OF 255                  FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.          AS OF 07/31/08

                                                                                     ITEM 6:
                                                                      ITEM 5:      INVESTMENT                    ITEM 8:
                                             ITEM 3:      ITEM 4:    SHARES OR     DISCRETION    ITEM 7: VOTING AUTHORITY (SHARES)
            ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL     (B)SHARED    MANAGERS          (B)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER       VALUE       AMOUNT   (A)SOLE   (C)OTH INSTR V  (A)SOLE SHARED  (C)NONE
---------------------------- -------------- --------- ------------- ---------- -------   ------ -------- ------- ------ ----------
                                                                                          
BRINKER INTL INC             COM            109641100     1,546,398     81,820         X        28-12474                    81,820
BRISTOL MYERS SQUIBB CO      COM            110122108     1,152,328     56,129         X        28-12474                    56,129
                                                              7,473        364         X        28-12474                       364
BROOKFIELD PPTYS CORP        COM            112900105       334,541     18,805         X        28-12474                    18,805
CBL & ASSOC PPTYS INC        COM            124830100     1,491,680     65,310         X        28-12474                    65,310
CBS CORP NEW                 CL B           124857202       139,159      7,140         X        28-12474                     7,140
CVS CAREMARK CORPORATION     COM            126650100     1,340,038     33,865         X        28-12474                    33,865
CA INC                       COM            12673P105           254         11         X        28-12474                        11
CAMDEN PPTY TR               SH BEN INT     133131102       227,054      5,130         X        28-12474                     5,130
CAPITAL ONE FINL CORP        COM            14040H105    10,853,717    285,549         X        28-12474                   285,549
CAPITAL TRUST INC MD         CL A NEW       14052H506       147,917      7,700         X        28-12474                     7,700
CARDINAL HEALTH INC          COM            14149Y108         6,293        122         X        28-12474                       122
CARNIVAL CORP                PAIRED CTF     143658300         6,592        200         X        28-12474                       200
CATERPILLAR INC DEL          COM            149123101       792,827     10,740         X        28-12474                    10,740
CELANESE CORP DEL            COM SER A      150870103     1,375,736     30,130         X        28-12474                    30,130
CEPHALON INC                 COM            156708109     3,072,142     46,066         X        28-12474                    46,066
CHEVRON CORP NEW             COM            166764100     5,167,151     52,125         X        28-12474                    52,125
CHUBB CORP                   COM            171232101    12,089,248    246,669         X        28-12474                   246,669
                                                              4,411         90         X        28-12474                        90
CINCINNATI FINL CORP         COM            172062101       253,619      9,985         X        28-12474                     9,985
CIRCUIT CITY STORE INC       COM            172737108     2,877,969    995,837         X        28-12474                   995,837
CISCO SYS INC                COM            17275R102    23,461,664  1,008,670         X        28-12474                 1,008,670
                                                             41,124      1,768         X        28-12474                     1,768
               COLUMN TOTAL                              66,389,335







                                                                                                                    FILE NO. 28-1235
PAGE 234 OF 255                  FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.          AS OF 07/31/08

                                                                                     ITEM 6:
                                                                      ITEM 5:      INVESTMENT                    ITEM 8:
                                             ITEM 3:      ITEM 4:    SHARES OR     DISCRETION    ITEM 7: VOTING AUTHORITY (SHARES)
            ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL     (B)SHARED    MANAGERS          (B)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER       VALUE       AMOUNT   (A)SOLE   (C)OTH INSTR V  (A)SOLE SHARED  (C)NONE
---------------------------- -------------- --------- ------------- ---------- -------   ------ -------- ------- ------ ----------
                                                                                          
CITADEL BROADCASTING CORP    COM            17285T106            28         23         X        28-12474                        23
CITIGROUP INC                COM            172967101    10,665,645    636,375         X        28-12474                   636,375
COACH INC                    COM            189754104        11,494        398         X        28-12474                       398
COCA COLA CO                 COM            191216100     7,949,353    152,931         X        28-12474                   152,931
                                                             22,611        435         X        28-12474                       435
COGNIZANT TECHNOLOGY SOLUTIO CL A           192446102     1,550,890     47,705         X        28-12474                    47,705
COLDWATER CREEK INC          COM            193068103     2,000,096    378,806         X        28-12474                   378,806
COLGATE PALMOLIVE CO         COM            194162103     7,482,079    108,279         X        28-12474                   108,279
                                                              3,801         55         X        28-12474                        55
COLONIAL PPTYS TR            COM SH BEN INT 195872106       169,569      8,470         X        28-12474                     8,470
COMCAST CORP NEW             CL A           20030N101     3,835,772    202,202         X        28-12474                   202,202
COMERICA INC                 COM            200340107       169,030      6,595         X        28-12474                     6,595
CONAGRA FOODS INC            COM            205887102     8,554,093    443,677         X        28-12474                   443,677
                                                              3,393        176         X        28-12474                       176
CONOCOPHILLIPS               COM            20825C104     5,446,492     57,702         X        28-12474                    57,702
CONSOLIDATED EDISON INC      COM            209115104       183,918      4,705         X        28-12474                     4,705
CONSTELLATION ENERGY GROUP I COM            210371100        89,900      1,095         X        28-12474                     1,095
CORNING INC                  COM            219350105     1,472,964     63,903         X        28-12474                    63,903
                                                             10,718        465         X        28-12474                       465
CORPORATE OFFICE PPTYS TR    SH BEN INT     22002T108       598,372     17,430         X        28-12474                    17,430
COUNTRYWIDE FINANCIAL CORP   COM            222372104       672,915    158,333         X        28-12474                   158,333
COVENTRY HEALTH CARE INC     COM            222862104     5,269,352    173,220         X        28-12474                   173,220
CULLEN FROST BANKERS INC     COM            229899109     2,178,993     43,711         X        28-12474                    43,711
CUMMINS INC                  COM            231021106        20,966        320         X        28-12474                       320
              COLUMN TOTAL                               58,362,444







                                                                                                                    FILE NO. 28-1235
PAGE 235 OF 255                  FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.          AS OF 07/31/08

                                                                                     ITEM 6:
                                                                      ITEM 5:      INVESTMENT                    ITEM 8:
                                             ITEM 3:      ITEM 4:    SHARES OR     DISCRETION    ITEM 7: VOTING AUTHORITY (SHARES)
            ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL     (B)SHARED    MANAGERS          (B)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER       VALUE       AMOUNT   (A)SOLE   (C)OTH INSTR V  (A)SOLE SHARED  (C)NONE
---------------------------- -------------- --------- ------------- ---------- -------   ------ -------- ------- ------ ----------
                                                                                          
DTE ENERGY CO                COM            233331107      265,674       6,260         X        28-12474                     6,260
DANAHER CORP DEL             COM            235851102    2,064,683      26,710         X        28-12474                    26,710
DEERE & CO                   COM            244199105        1,226          17         X        28-12474                        17
DEL MONTE FOODS CO           COM            24522P103      290,781      40,955         X        28-12474                    40,955
DELL INC                     COM            24702R101    2,438,854     111,465         X        28-12474                   111,465
DENTSPLY INTL INC NEW        COM            249030107    1,639,624      44,555         X        28-12474                    44,555
                                                            11,776         320         X        28-12474                       320
DEVELOPERS DIVERSIFIED RLTY  COM            251591103      861,502      24,820         X        28-12474                    24,820
DEVON ENERGY CORP NEW        COM            25179M103   10,137,779      84,369         X        28-12474                    84,369
                                                            16,582         138         X        28-12474                       138
DICKS SPORTING GOODS INC     COM            253393102          550          31         X        28-12474                        31
DIGITAL RLTY TR INC          COM            253868103      634,105      15,500         X        28-12474                    15,500
DISCOVERY HOLDING CO         CL A COM       25468Y107    1,803,136      82,110         X        28-12474                    82,110
                                                            13,308         606         X        28-12474                       606
DISNEY WALT CO               COM DISNEY     254687106    8,500,565     272,454         X        28-12474                   272,454
                                                             2,902          93         X        28-12474                        93
DISH NETWORK CORP            CL A           25470M109    1,021,872      34,900         X        28-12474                    34,900
DISCOVER FINL SVCS           COM            254709108           79           6         X        28-12474                         6
DOLBY LABORATORIES INC       COM            25659T107    2,078,876      51,585         X        28-12474                    51,585
                                                            15,274         379         X        28-12474                       379
DOMINION RES INC VA NEW      COM            25746U109      144,465       3,042         X        28-12474                     3,042
DONNELLEY R R & SONS CO      COM            257867101      646,648      21,780         X        28-12474                    21,780
DOUGLAS EMMETT INC           COM            25960P109      158,843       7,230         X        28-12474                     7,230
DOVER CORP                   COM            260003108    4,803,093      99,299         X        28-12474                    99,299
               COLUMN TOTAL                             37,552,197







                                                                                                                    FILE NO. 28-1235
PAGE 236 OF 255                  FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.          AS OF 07/31/08

                                                                                     ITEM 6:
                                                                      ITEM 5:      INVESTMENT                    ITEM 8:
                                             ITEM 3:      ITEM 4:    SHARES OR     DISCRETION    ITEM 7: VOTING AUTHORITY (SHARES)
            ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL     (B)SHARED    MANAGERS          (B)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER       VALUE       AMOUNT   (A)SOLE   (C)OTH INSTR V  (A)SOLE SHARED  (C)NONE
---------------------------- -------------- --------- ------------- ---------- -------   ------ -------- ------- ------ ----------
                                                                                          
DOW CHEM CO                  COM            260543103       331,261      9,489         X        28-12474                     9,489
DU PONT E I DE NEMOURS & CO  COM            263534109       540,200     12,595         X        28-12474                    12,595
DUKE REALTY CORP             COM NEW        264411505       238,644     10,630         X        28-12474                    10,630
E M C CORP MASS              COM            268648102     2,531,954    172,359         X        28-12474                   172,359
EASTGROUP PPTY INC           COM            277276101       354,783      8,270         X        28-12474                     8,270
EASTMAN KODAK CO             COM            277461109       161,039     11,160         X        28-12474                    11,160
EATON CORP                   COM            278058102     1,606,953     18,912         X        28-12474                    18,912
EBAY INC                     COM            278642103     1,024,547     37,488         X        28-12474                    37,488
EMERSON ELEC CO              COM            291011104    10,640,651    215,180         X        28-12474                   215,180
                                                             18,692        378         X        28-12474                       378
ENBRIDGE ENERGY PARTNERS L P COM            29250R106         6,289        125         X        28-12474                       125
ENTERGY CORP NEW             COM            29364G103     2,728,992     22,651         X        28-12474                    22,651
ENTERTAINMENT PPTYS TR       COM SH BEN INT 29380T105       767,309     15,520         X        28-12474                    15,520
EQUITY ONE                   COM            294752100        24,866      1,210         X        28-12474                     1,210
EQUITY RESIDENTIAL           SH BEN INT     29476L107       565,439     14,775         X        28-12474                    14,775
ESSEX PPTY TR INC            COM            297178105       459,015      4,310         X        28-12474                     4,310
EXELON CORP                  COM            30161N101    10,508,318    116,811         X        28-12474                   116,811
                                                              3,149         35         X        28-12474                        35
EXXON MOBIL CORP             COM            30231G102    53,884,268    611,418         X        28-12474                   611,418
                                                             35,340        401         X        28-12474                       401
FPL GROUP INC                COM            302571104     7,588,983    115,721         X        28-12474                   115,721
                                                             16,788        256         X        28-12474                       256
FACTSET RESH SYS INC         COM            303075105     6,875,582    121,994         X        28-12474                   121,994
                                                              3,438         61         X        28-12474                        61
              COLUMN TOTAL                              100,916,500







                                                                                                                    FILE NO. 28-1235
PAGE 237 OF 255                  FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.          AS OF 07/31/08

                                                                                     ITEM 6:
                                                                      ITEM 5:      INVESTMENT                    ITEM 8:
                                             ITEM 3:      ITEM 4:    SHARES OR     DISCRETION    ITEM 7: VOTING AUTHORITY (SHARES)
            ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL     (B)SHARED    MANAGERS          (B)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER       VALUE       AMOUNT   (A)SOLE   (C)OTH INSTR V  (A)SOLE SHARED  (C)NONE
---------------------------- -------------- --------- ------------- ---------- -------   ------ -------- ------- ------ ----------
                                                                                          
FAIRPOINT COMMUNICATIONS INC COM            305560104         4,095        568         X        28-12474                       568
FEDERAL REALTY INVT TR       SH BEN INT NEW 313747206       480,930      6,970         X        28-12474                     6,970
FEDEX CORP                   COM            31428X106     3,608,267     45,796         X        28-12474                    45,796
FELDMAN MALL PPTYS INC       COM            314308107         1,390      1,275         X        28-12474                     1,275
FIDELITY NATIONAL FINANCIAL  CL A           31620R105     2,365,486    187,737         X        28-12474                   187,737
FIRST INDUSTRIAL REALTY TRUS COM            32054K103       189,268      6,890         X        28-12474                     6,890
FIRSTENERGY CORP             COM            337932107    12,614,603    153,220         X        28-12474                   153,220
                                                              4,446         54         X        28-12474                        54
FORTUNE BRANDS INC           COM            349631101        16,976        272         X        28-12474                       272
FRANKLIN RES INC             COM            354613101     7,555,168     82,435         X        28-12474                    82,435
                                                              2,291         25         X        28-12474                        25
FREEPORT-MCMORAN COPPER & GO COM            35671D857     3,489,918     29,780         X        28-12474                    29,780
                                                             12,539        107         X        28-12474                       107
GAMESTOP CORP NEW            CL A           36467W109     2,082,458     51,546         X        28-12474                    51,546
                                                             14,948        370         X        28-12474                       370
GANNETT INC                  COM            364730101       129,478      5,975         X        28-12474                     5,975
GAP INC DEL                  COM            364760108       228,129     13,685         X        28-12474                    13,685
GENERAL DYNAMICS CORP        COM            369550108    10,396,174    123,470         X        28-12474                   123,470
                                                             20,208        240         X        28-12474                       240
GENERAL ELECTRIC CO          COM            369604103    14,263,723    534,422         X        28-12474                   534,422
GENERAL GROWTH PPTYS INC     COM            370021107     1,178,059     33,630         X        28-12474                    33,630
GENERAL MLS INC              COM            370334104     1,581,296     26,021         X        28-12474                    26,021
GENZYME CORP                 COM            372917104     5,781,021     80,426         X        28-12474                    80,426
                                                             18,689        260         X        28-12474                       260
GETTY RLTY CORP NEW          COM            374297109       195,832     13,590         X        28-12474                    13,590
              COLUMN TOTAL                              66,235,392







                                                                                                                    FILE NO. 28-1235
PAGE 238 OF 255                  FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.          AS OF 07/31/08

                                                                                     ITEM 6:
                                                                      ITEM 5:      INVESTMENT                    ITEM 8:
                                             ITEM 3:      ITEM 4:    SHARES OR     DISCRETION    ITEM 7: VOTING AUTHORITY (SHARES)
            ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL     (B)SHARED    MANAGERS          (B)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER       VALUE       AMOUNT   (A)SOLE   (C)OTH INSTR V  (A)SOLE SHARED  (C)NONE
---------------------------- -------------- --------- ------------- ---------- -------   ------ -------- ------- ------ ----------
                                                                                          
GILEAD SCIENCES INC          COM            375558103    13,357,432    252,265         X        28-12474                   252,265
                                                             30,182        570         X        28-12474                       570
GILDAN ACTIVEWEAR INC        COM            375916103     1,616,646     62,467         X        28-12474                    62,467
GLADSTONE COML CORP          COM            376536108       176,246     10,170         X        28-12474                    10,170
GLIMCHER RLTY TR             SH BEN INT     379302102       174,967     15,650         X        28-12474                    15,650
GOLDMAN SACHS GROUP INC      COM            38141G104    14,566,197     83,283         X        28-12474                    83,283
                                                             16,616         95         X        28-12474                        95
GOODRICH CORP                COM            382388106       670,420     14,126         X        28-12474                    14,126
GRAMERCY CAP CORP            COM            384871109       718,453     61,989         X        28-12474                    61,989
HCC INS HLDGS INC            COM            404132102       925,298     43,770         X        28-12474                    43,770
HCP INC                      COM            40414L109     1,193,193     37,510         X        28-12474                    37,510
HRPT PPTYS TR                COM SH BEN INT 40426W101       339,245     50,110         X        28-12474                    50,110
HALLIBURTON CO               COM            406216101     2,691,286     50,712         X        28-12474                    50,712
HANSEN NAT CORP              COM            411310105       813,877     28,240         X        28-12474                    28,240
HARLEY DAVIDSON INC          COM            412822108         9,065        250         X        28-12474                       250
HARTFORD FINL SVCS GROUP INC COM            416515104       230,709      3,573         X        28-12474                     3,573
HEALTH MGMT ASSOC INC NEW    CL A           421933102     1,044,894    160,506         X        28-12474                   160,506
HEALTHCARE RLTY TR           COM            421946104       299,264     12,590         X        28-12474                    12,590
HEALTH CARE REIT INC         COM            42217K106       549,575     12,350         X        28-12474                    12,350
HERSHA HOSPITALITY TR        SH BEN INT A   427825104       140,241     18,575         X        28-12474                    18,575
HEWLETT PACKARD CO           COM            428236103    18,151,344    410,571         X        28-12474                   410,571
                                                             30,638        693         X        28-12474                       693
HOME DEPOT INC               COM            437076102     7,762,559    331,450         X        28-12474                   331,450
              COLUMN TOTAL                               65,508,347







                                                                                                                    FILE NO. 28-1235
PAGE 239 OF 255                  FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.          AS OF 07/31/08

                                                                                     ITEM 6:
                                                                      ITEM 5:      INVESTMENT                    ITEM 8:
                                             ITEM 3:      ITEM 4:    SHARES OR     DISCRETION    ITEM 7: VOTING AUTHORITY (SHARES)
            ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL     (B)SHARED    MANAGERS          (B)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER       VALUE       AMOUNT   (A)SOLE   (C)OTH INSTR V  (A)SOLE SHARED  (C)NONE
---------------------------- -------------- --------- ------------- ---------- -------   ------ -------- ------- ------ ----------
                                                                                          
HOME PROPERTIES INC          COM            437306103        18,263        380         X        28-12474                       380
HONEYWELL INTL INC           COM            438516106     9,460,635    188,159         X        28-12474                   188,159
                                                             16,039        319         X        28-12474                       319
HOSPITALITY PPTYS TR         COM SH BEN INT 44106M102       511,948     20,930         X        28-12474                    20,930
HOST HOTELS & RESORTS INC    COM            44107P104       688,451     50,436         X        28-12474                    50,436
HUDSON CITY BANCORP          COM            443683107     1,302,324     78,077         X        28-12474                    78,077
ISTAR FINL INC               COM            45031U101       232,232     17,580         X        28-12474                    17,580
ITT CORP NEW                 COM            450911102    11,807,245    186,440         X        28-12474                   186,440
                                                             16,656        263         X        28-12474                       263
INTEL CORP                   COM            458140100    14,799,076    688,970         X        28-12474                   688,970
                                                             29,148      1,357         X        28-12474                     1,357
INTERNATIONAL BUSINESS MACHS COM            459200101     8,164,583     68,882         X        28-12474                    68,882
                                                             30,107        254         X        28-12474                       254
ISHARES TR                   S&P 500 INDEX  464287200       327,424      2,558         X        28-12474                     2,558
ISHARES TR                   RUSSELL MCP VL 464287473     2,872,145     22,327         X        28-12474                    22,327
ISHARES TR                   RUSSELL 2000   464287655       255,485      3,700         X        28-12474                     3,700
JP MORGAN CHASE & CO         COM            46625H100    12,418,745    361,957         X        28-12474                   361,957
                                                              4,186        122         X        28-12474                       122
JABIL CIRCUIT INC            COM            466313103     8,026,147    489,101         X        28-12474                   489,101
JACOBS ENGR GROUP INC DEL    COM            469814107     1,512,802     18,746         X        28-12474                    18,746
                                                             11,137        138         X        28-12474                       138
JOHNSON & JOHNSON            COM            478160104    16,002,709    248,721         X        28-12474                   248,721
                                                             23,677        368         X        28-12474                       368
KBR INC                      COM            48242W106            35          1         X        28-12474                         1
KILROY RLTY CORP             COM            49427F108        18,342        390         X        28-12474                       390
               COLUMN TOTAL                              88,549,541







                                                                                                                    FILE NO. 28-1235
PAGE 240 OF 255                  FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.          AS OF 07/31/08

                                                                                     ITEM 6:
                                                                      ITEM 5:      INVESTMENT                    ITEM 8:
                                             ITEM 3:      ITEM 4:    SHARES OR     DISCRETION    ITEM 7: VOTING AUTHORITY (SHARES)
            ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL     (B)SHARED    MANAGERS          (B)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER       VALUE       AMOUNT   (A)SOLE   (C)OTH INSTR V  (A)SOLE SHARED  (C)NONE
---------------------------- -------------- --------- ------------- ---------- -------   ------ -------- ------- ------ ----------
                                                                                          
KIMBERLY CLARK CORP          COM            494368103       311,992      5,219         X        28-12474                     5,219
KIMCO REALTY CORP            COM            49446R109     1,216,312     35,235         X        28-12474                    35,235
KINETIC CONCEPTS INC         COM NEW        49460W208     3,232,910     81,005         X        28-12474                    81,005
KOHLS CORP                   COM            500255104     8,481,153    211,817         X        28-12474                   211,817
KRAFT FOODS INC              CL A           50075N104       362,595     12,745         X        28-12474                    12,745
LASALLE HOTEL PPTYS          COM SH BEN INT 517942108       256,703     10,215         X        28-12474                    10,215
LEXINGTON REALTY TRUST       COM            529043101       453,061     33,240         X        28-12474                    33,240
LIBERTY PPTY TR              SH BEN INT     531172104       258,902      7,810         X        28-12474                     7,810
LILLY ELI & CO               COM            532457108     4,671,715    101,207         X        28-12474                   101,207
                                                             12,740        276         X        28-12474                       276
LINCOLN NATL CORP IND        COM            534187109       533,416     11,770         X        28-12474                    11,770
LOCKHEED MARTIN CORP         COM            539830109     8,642,616     87,600         X        28-12474                    87,600
                                                             16,180        164         X        28-12474                       164
LOWES COS INC                COM            548661107     2,022,233     97,457         X        28-12474                    97,457
LUBRIZOL CORP                COM            549271104       224,006      4,835         X        28-12474                     4,835
M & T BK CORP                COM            55261F104         7,054        100         X        28-12474                       100
MACERICH CO                  COM            554382101     1,097,526     17,665         X        28-12474                    17,665
MACK CALI RLTY CORP          COM            554489104       539,203     15,780         X        28-12474                    15,780
MAGUIRE PPTYS INC            COM            559775101        13,752      1,130         X        28-12474                     1,130
MARATHON OIL CORP            COM            565849106       224,078      4,320         X        28-12474                     4,320
MARRIOTT INTL INC NEW        CL A           571903202         5,773        220         X        28-12474                       220
MASCO CORP                   COM            574599106     3,555,420    226,028         X        28-12474                   226,028
               COLUMN TOTAL                              36,139,340







                                                                                                                    FILE NO. 28-1235
PAGE 241 OF 255                  FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.          AS OF 07/31/08

                                                                                     ITEM 6:
                                                                      ITEM 5:      INVESTMENT                    ITEM 8:
                                             ITEM 3:      ITEM 4:    SHARES OR     DISCRETION    ITEM 7: VOTING AUTHORITY (SHARES)
            ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL     (B)SHARED    MANAGERS          (B)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER       VALUE       AMOUNT   (A)SOLE   (C)OTH INSTR V  (A)SOLE SHARED  (C)NONE
---------------------------- -------------- --------- ------------- ---------- -------   ------ -------- ------- ------ ----------
                                                                                          
MASTERCARD INC               CL A           57636Q104    15,272,976     57,521         X        28-12474                    57,521
                                                             26,818        101         X        28-12474                       101
MATTEL INC                   COM            577081102       225,368     13,164         X        28-12474                    13,164
MCCORMICK & CO INC           COM NON VTG    579780206       171,168      4,800         X        28-12474                     4,800
MCDONALDS CORP               COM            580135101    14,378,546    255,755         X        28-12474                   255,755
                                                             20,295        361         X        28-12474                       361
MEDCO HEALTH SOLUTIONS INC   COM            58405U102     4,906,298    103,947         X        28-12474                   103,947
                                                              2,454         52         X        28-12474                        52
MEDICAL PPTYS TRUST INC      COM            58463J304       391,583     38,694         X        28-12474                    38,694
MEDTRONIC INC                COM            585055106        10,350        200         X        28-12474                       200
MERCK & CO INC               COM            589331107     9,009,003    239,029         X        28-12474                   239,029
                                                             19,523        518         X        28-12474                       518
MERRILL LYNCH & CO INC       COM            590188108     5,344,816    168,553         X        28-12474                   168,553
METLIFE INC                  COM            59156R108     9,408,574    178,294         X        28-12474                   178,294
                                                              3,377         64         X        28-12474                        64
MICROSOFT CORP               COM            594918104    31,364,206  1,140,102         X        28-12474                 1,140,102
                                                             59,367      2,158         X        28-12474                     2,158
MICROCHIP TECHNOLOGY INC     COM            595017104       869,627     28,475         X        28-12474                    28,475
MID-AMER APT CMNTYS INC      COM            59522J103       168,687      3,305         X        28-12474                     3,305
MOLSON COORS BREWING CO      CL B           60871R209    13,524,041    248,924         X        28-12474                   248,924
                                                             24,286        447         X        28-12474                       447
MONSANTO CO NEW              COM            61166W101     5,406,574     42,760         X        28-12474                    42,760
                                                              2,655         21         X        28-12474                        21
MOODYS CORP                  COM            615369105         7,232        210         X        28-12474                       210
MORGAN STANLEY               COM NEW        617446448     5,408,877    149,955         X        28-12474                   149,955
MOTOROLA INC                 COM            620076109     2,124,512    289,443         X        28-12474                   289,443
               COLUMN TOTAL                             118,151,213







                                                                                                                    FILE NO. 28-1235
PAGE 242 OF 255             FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.               AS OF 07/31/08

                                                                                     ITEM 6:
                                                                      ITEM 5:      INVESTMENT                    ITEM 8:
                                             ITEM 3:      ITEM 4:    SHARES OR     DISCRETION    ITEM 7: VOTING AUTHORITY (SHARES)
            ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL     (B)SHARED    MANAGERS          (B)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER       VALUE       AMOUNT   (A)SOLE   (C)OTH INSTR V  (A)SOLE SHARED  (C)NONE
---------------------------- -------------- --------- ------------- ---------- -------   ------ -------- ------- ------ ----------
                                                                                          
NASDAQ OMX GROUP INC         COM            631103108     2,359,366     88,865         X        28-12474                    88,865
                                                              9,319        351         X        28-12474                       351
NATIONAL CITY CORP           COM            635405103        46,603      9,770         X        28-12474                     9,770
NATIONAL OILWELL VARCO INC   COM            637071101         4,968         56         X        28-12474                        56
NATIONAL RETAIL PROPERTIES I COM            637417106       422,389     20,210         X        28-12474                    20,210
NATIONWIDE HEALTH PPTYS INC  COM            638620104       273,491      8,685         X        28-12474                     8,685
NEW YORK TIMES CO            CL A           650111107       434,229     28,215         X        28-12474                    28,215
NEWCASTLE INVT CORP          COM            65105M108       206,655     29,480         X        28-12474                    29,480
NEWELL RUBBERMAID INC        COM            651229106       360,481     21,470         X        28-12474                    21,470
NEWS CORP                    CL A           65248E104    11,298,604    751,237         X        28-12474                   751,237
                                                             13,491        897         X        28-12474                       897
NEWS CORP                    CL B           65248E203        19,832      1,292         X        28-12474                     1,292
NIKE INC                     CL B           654106103    12,895,133    216,325         X        28-12474                   216,325
                                                             26,884        451         X        28-12474                       451
NOKIA CORP                   SPONSORED ADR  654902204         6,125        250         X        28-12474                       250
NOBLE ENERGY INC             COM            655044105        35,196        350         X        28-12474                       350
NORDSTROM INC                COM            655664100         4,848        160         X        28-12474                       160
NORFOLK SOUTHERN CORP        COM            655844108       100,272      1,600         X        28-12474                     1,600
NORTHERN TR CORP             COM            665859104    11,201,664    163,361         X        28-12474                   163,361
                                                              4,457         65         X        28-12474                        65
NORTHROP GRUMMAN CORP        COM            666807102     1,390,316     20,782         X        28-12474                    20,782
NORTHSTAR RLTY FIN CORP      COM            66704R100       199,264     23,950         X        28-12474                    23,950
NOVARTIS A G                 SPONSORED ADR  66987V109     5,251,366     95,410         X        28-12474                    95,410
               COLUMN TOTAL                              46,564,953







                                                                                                                    FILE NO. 28-1235
PAGE 243 OF 255                  FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.          AS OF 07/31/08

                                                                                     ITEM 6:
                                                                      ITEM 5:      INVESTMENT                    ITEM 8:
                                             ITEM 3:      ITEM 4:    SHARES OR     DISCRETION    ITEM 7: VOTING AUTHORITY (SHARES)
            ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL     (B)SHARED    MANAGERS          (B)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER       VALUE       AMOUNT   (A)SOLE   (C)OTH INSTR V  (A)SOLE SHARED  (C)NONE
---------------------------- -------------- --------- ------------- ---------- -------   ------ -------- ------- ------ ----------
                                                                                          
NVIDIA CORP                  COM            67066G104     6,803,840    363,453         X        28-12474                   363,453
                                                             13,535        723         X        28-12474                       723
OCCIDENTAL PETE CORP DEL     COM            674599105    14,065,966    156,532         X        28-12474                   156,532
                                                             21,566        240         X        28-12474                       240
OLD REP INTL CORP            COM            680223104       192,045     16,220         X        28-12474                    16,220
OMNICARE INC                 COM            681904108     8,246,059    314,495         X        28-12474                   314,495
OMNICOM GROUP INC            COM            681919106    10,621,929    236,674         X        28-12474                   236,674
                                                             19,702        439         X        28-12474                       439
OMEGA HEALTHCARE INVS INC    COM            681936100       391,775     23,530         X        28-12474                    23,530
ORACLE CORP                  COM            68389X105    17,555,685    835,985         X        28-12474                   835,985
                                                             32,550      1,550         X        28-12474                     1,550
OSHKOSH CORP                 COM            688239201     4,341,817    209,851         X        28-12474                   209,851
OWENS ILL INC                COM NEW        690768403     7,584,412    181,924         X        28-12474                   181,924
                                                             13,508        324         X        28-12474                       324
PNC FINL SVCS GROUP INC      COM            693475105       718,261     12,579         X        28-12474                    12,579
PNM RES INC                  COM            69349H107       994,952     83,190         X        28-12474                    83,190
PPG INDS INC                 COM            693506107       142,163      2,478         X        28-12474                     2,478
PANERA BREAD CO              CL A           69840W108       132,766      2,870         X        28-12474                     2,870
PARKER HANNIFIN CORP         COM            701094104         3,709         52         X        28-12474                        52
PATTERSON UTI ENERGY INC     COM            703481101       992,852     27,480         X        28-12474                    27,480
PENNSYLVANIA RL ESTATE INVT  SH BEN INT     709102107       206,872      8,940         X        28-12474                     8,940
PENTAIR INC                  COM            709631105         1,576         45         X        28-12474                        45
PEPSIAMERICAS INC            COM            71343P200       304,810     15,410         X        28-12474                    15,410
PEPSICO INC                  COM            713448108     9,634,457    151,509         X        28-12474                   151,509
                                                             19,522        307         X        28-12474                       307
              COLUMN TOTAL                              83,056,329







                                                                                                                    FILE NO. 28-1235
PAGE 244 OF 255                  FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.          AS OF 07/31/08

                                                                                     ITEM 6:
                                                                      ITEM 5:      INVESTMENT                    ITEM 8:
                                             ITEM 3:      ITEM 4:    SHARES OR     DISCRETION    ITEM 7: VOTING AUTHORITY (SHARES)
            ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL     (B)SHARED    MANAGERS          (B)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER       VALUE       AMOUNT   (A)SOLE   (C)OTH INSTR V  (A)SOLE SHARED  (C)NONE
---------------------------- -------------- --------- ------------- ---------- -------   ------ -------- ------- ------ ----------
                                                                                          
PFIZER INC                   COM            717081103    18,108,773  1,036,564         X        28-12474                  103,6564
                                                              2,061        118         X        28-12474                       118
PHARMACEUTICAL PROD DEV INC  COM            717124101        24,882        580         X        28-12474                       580
PHILIP MORRIS INTL INC       COM            718172109     2,954,213     59,814         X        28-12474                    59,814
                                                             20,694        419         X        28-12474                       419
POST PPTYS INC               COM            737464107        96,093      3,230         X        28-12474                     3,230
POTASH CORP SASK INC         COM            73755L107     3,085,695     13,500         X        28-12474                    13,500
                                                             22,400         98         X        28-12474                        98
PRAXAIR INC                  COM            74005P104    12,603,940    133,743         X        28-12474                   133,743
                                                             22,806        242         X        28-12474                       242
PRECISION CASTPARTS CORP     COM            740189105     6,236,970     64,719         X        28-12474                    64,719
                                                             11,757        122         X        28-12474                       122
PRICE T ROWE GROUP INC       COM            74144T108       426,349      7,550         X        28-12474                     7,550
PROCTER & GAMBLE CO          COM            742718109    21,757,392    357,793         X        28-12474                   357,793
                                                             21,831        359         X        28-12474                       359
PROGRESS ENERGY INC          COM            743263105       390,650      9,339         X        28-12474                     9,339
PROLOGIS                     SH BEN INT     743410102     2,802,775     51,569         X        28-12474                    51,569
PUBLIC STORAGE               COM            74460D109       942,011     11,660         X        28-12474                    11,660
QUALCOMM INC                 COM            747525103    11,741,189    264,620         X        28-12474                   264,620
                                                             20,943        472         X        28-12474                       472
QWEST COMMUNICATIONS INTL IN COM            749121109           841        214         X        28-12474                       214
REALTY INCOME CORP           COM            756109104       578,332     25,410         X        28-12474                    25,410
REDWOOD TR INC               COM            758075402       156,681      6,875         X        28-12474                     6,875
REGENCY CTRS CORP            COM            758849103       908,083     15,360         X        28-12474                    15,360
REGIONS FINANCIAL CORP NEW   COM            7591EP100       116,573     10,685         X        28-12474                    10,685
              COLUMN TOTAL                               83,053,934







                                                                                                                    FILE NO. 28-1235
PAGE 245 OF 255                  FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.          AS OF 07/31/08

                                                                                     ITEM 6:
                                                                      ITEM 5:      INVESTMENT                    ITEM 8:
                                             ITEM 3:      ITEM 4:    SHARES OR     DISCRETION    ITEM 7: VOTING AUTHORITY (SHARES)
            ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL     (B)SHARED    MANAGERS          (B)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER       VALUE       AMOUNT   (A)SOLE   (C)OTH INSTR V  (A)SOLE SHARED  (C)NONE
---------------------------- -------------- --------- ------------- ---------- -------   ------ -------- ------- ------ ----------
                                                                                          
ROCKWELL COLLINS INC         COM            774341101       622,857     12,987         X        28-12474                    12,987
ROHM & HAAS CO               COM            775371107       196,673      4,235         X        28-12474                     4,235
SL GREEN RLTY CORP           COM            78440X101     1,259,908     15,231         X        28-12474                    15,231
SLM CORP                     COM            78442P106         6,386        330         X        28-12474                       330
SPX CORP                     COM            784635104    11,042,267     83,825         X        28-12474                    83,825
                                                             20,418        155         X        28-12474                       155
SAFECO CORP                  COM            786429100       415,049      6,180         X        28-12474                     6,180
ST JUDE MED INC              COM            790849103     1,532,346     37,484         X        28-12474                    37,484
                                                             11,160        273         X        28-12474                       273
SANDISK CORP                 COM            80004C101     2,576,280    137,769         X        28-12474                   137,769
SARA LEE CORP                COM            803111103       175,604     14,335         X        28-12474                    14,335
SCHLUMBERGER LTD             COM            806857108     9,749,380     90,751         X        28-12474                    90,751
                                                             19,982        186         X        28-12474                       186
SCRIPPS E W CO OHIO          CL A           811054204     1,747,879     42,077         X        28-12474                    42,077
SENIOR HSG PPTYS TR          SH BEN INT     81721M109       454,854     23,290         X        28-12474                    23,290
SIMON PPTY GROUP INC NEW     COM            828806109     2,654,002     29,525         X        28-12474                    29,525
SMITH INTL INC               COM            832110100        17,958        216         X        28-12474                       216
SMUCKER J M CO               COM NEW        832696405       355,600      8,750         X        28-12474                     8,750
SONIC CORP                   COM            835451105       635,956     42,970         X        28-12474                    42,970
SONOCO PRODS CO              COM            835495102     2,732,111     88,275         X        28-12474                    88,275
SOUTHERN CO                  COM            842587107         3,492        100         X        28-12474                       100
SOVRAN SELF STORAGE INC      COM            84610H108        23,274        560         X        28-12474                       560
SPRINT NEXTEL CORP           COM SER 1      852061100       964,621    101,539         X        28-12474                   101,539
               COLUMN TOTAL                              37,218,057







                                                                                                                    FILE NO. 28-1235
PAGE 246 OF 255                  FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.          AS OF 07/31/08

                                                                                     ITEM 6:
                                                                      ITEM 5:      INVESTMENT                    ITEM 8:
                                             ITEM 3:      ITEM 4:    SHARES OR     DISCRETION    ITEM 7: VOTING AUTHORITY (SHARES)
            ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL     (B)SHARED    MANAGERS          (B)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER       VALUE       AMOUNT   (A)SOLE   (C)OTH INSTR V  (A)SOLE SHARED  (C)NONE
---------------------------- -------------- --------- ------------- ---------- -------   ------ -------- ------- ------ ----------
                                                                                          
STARBUCKS CORP               COM            855244109     1,676,357    106,503         X        28-12474                   106,503
STARWOOD HOTELS&RESORTS WRLD COM            85590A401       246,431      6,150         X        28-12474                     6,150
STATE STR CORP               COM            857477103     9,861,883    154,116         X        28-12474                   154,116
                                                              3,967         62         X        28-12474                        62
STMICROELECTRONICS N V       NY REGISTRY    861012102     2,493,610    241,395         X        28-12474                   241,395
STRATEGIC HOTELS & RESORTS I COM            86272T106        96,839     10,335         X        28-12474                    10,335
SUNOCO INC                   COM            86764P109        80,770      1,985         X        28-12474                     1,985
SUNSTONE HOTEL INVS INC NEW  COM            867892101       111,552      6,720         X        28-12474                     6,720
SUNTRUST BKS INC             COM            867914103        27,817        768         X        28-12474                       768
SUPERVALU INC                COM            868536103       243,259      7,875         X        28-12474                     7,875
SYMANTEC CORP                COM            871503108     1,744,170     90,138         X        28-12474                    90,138
SYSCO CORP                   COM            871829107       161,071      5,855         X        28-12474                     5,855
TANGER FACTORY OUTLET CTRS I COM            875465106       228,156      6,350         X        28-12474                     6,350
TARGET CORP                  COM            87612E106     1,182,194     25,429         X        28-12474                    25,429
TAUBMAN CTRS INC             COM            876664103       422,525      8,685         X        28-12474                     8,685
TELEFLEX INC                 COM            879369106     1,161,275     20,890         X        28-12474                    20,890
TEMPUR PEDIC INTL INC        COM            88023U101     1,704,962    218,305         X        28-12474                   218,305
TEXAS INSTRS INC             COM            882508104     2,355,331     83,641         X        28-12474                    83,641
TEXTRON INC                  COM            883203101         1,054         22         X        28-12474                        22
3M CO                        COM            88579Y101        27,836        400         X        28-12474                       400
TIDEWATER INC                COM            886423102     7,989,911    122,865         X        28-12474                   122,865
TIME WARNER INC              COM            887317105     1,866,250    126,098         X        28-12474                   126,098
              COLUMN TOTAL                               33,687,220







                                                                                                                    FILE NO. 28-1235
PAGE 247 OF 255                  FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.          AS OF 07/31/08

                                                                                     ITEM 6:
                                                                      ITEM 5:      INVESTMENT                    ITEM 8:
                                             ITEM 3:      ITEM 4:    SHARES OR     DISCRETION    ITEM 7: VOTING AUTHORITY (SHARES)
            ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL     (B)SHARED    MANAGERS          (B)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER       VALUE       AMOUNT   (A)SOLE   (C)OTH INSTR V  (A)SOLE SHARED  (C)NONE
---------------------------- -------------- --------- ------------- ---------- -------   ------ -------- ------- ------ ----------
                                                                                          
TOTAL S A                    SPONSORED ADR  89151E109     3,163,432     37,099         X        28-12474                    37,099
TRAVELERS COMPANIES INC      COM            89417E109       364,994      8,410         X        28-12474                     8,410
UDR INC                      COM            902653104       434,060     19,395         X        28-12474                    19,395
US BANCORP DEL               COM NEW        902973304       315,715     11,320         X        28-12474                    11,320
UNILEVER PLC                 SPON ADR NEW   904767704     2,415,447     85,021         X        28-12474                    85,021
UNION PAC CORP               COM            907818108    11,697,366    154,932         X        28-12474                   154,932
                                                             24,160        320         X        28-12474                       320
UNITED ONLINE INC            COM            911268100       112,737     11,240         X        28-12474                    11,240
U STORE IT TR                COM            91274F104       177,816     14,880         X        28-12474                    14,880
UNITED TECHNOLOGIES CORP     COM            913017109    11,563,135    187,409         X        28-12474                   187,409
                                                             19,682        319         X        28-12474                       319
UNITEDHEALTH GROUP INC       COM            91324P102     1,858,631     70,805         X        28-12474                    70,805
URBAN OUTFITTERS INC         COM            917047102       784,304     25,146         X        28-12474                    25,146
VALSPAR CORP                 COM            920355104     2,109,694    111,565         X        28-12474                   111,565
VANGUARD INTL EQUITY INDEX F EMR MKT ETF    922042858     1,739,556     37,170         X        28-12474                    37,170
VANGUARD INTL EQUITY INDEX F PACIFIC ETF    922042866       841,096     13,464         X        28-12474                    13,464
VANGUARD INTL EQUITY INDEX F EURPEAN ETF    922042874     1,082,565     16,500         X        28-12474                    16,500
VARIAN MED SYS INC           COM            92220P105     1,991,144     38,402         X        28-12474                    38,402
                                                             14,622        282         X        28-12474                       282
VENTAS INC                   COM            92276F100       548,302     12,880         X        28-12474                    12,880
VANGUARD INDEX FDS           SML CP GRW ETF 922908595       705,776     10,575         X        28-12474                    10,575
VERIZON COMMUNICATIONS INC   COM            92343V104     2,491,912     70,393         X        28-12474                    70,393
VISA INC                     COM CL A       92826C839     1,640,185     20,172         X        28-12474                    20,172
                                                             11,953        147         X        28-12474                       147
              COLUMN TOTAL                               46,108,284







                                                                                                                    FILE NO. 28-1235
PAGE 248 OF 255                  FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.          AS OF 07/31/08

                                                                                     ITEM 6:
                                                                      ITEM 5:      INVESTMENT                    ITEM 8:
                                             ITEM 3:      ITEM 4:    SHARES OR     DISCRETION    ITEM 7: VOTING AUTHORITY (SHARES)
            ITEM 1:             ITEM 2:      CUSIP     FAIR MARKET   PRINCIPAL     (B)SHARED    MANAGERS          (B)
       NAME OF ISSUER        TITLE OF CLASS  NUMBER       VALUE       AMOUNT   (A)SOLE   (C)OTH INSTR V  (A)SOLE SHARED  (C)NONE
---------------------------- -------------- --------- ------------- ---------- -------   ------ -------- ------- ------ ----------
                                                                                          
VODAFONE GROUP PLC NEW       SPONS ADR NEW  92857W209     1,642,336     55,748         X        28-12474                    55,748
VORNADO RLTY TR              SH BEN INT     929042109     1,261,480     14,335         X        28-12474                    14,335
WACHOVIA CORP NEW            COM            929903102     8,500,796    547,379         X        28-12474                   547,379
WAL MART STORES INC          COM            931142103    16,451,201    292,726         X        28-12474                   292,726
                                                             26,807        477         X        28-12474                       477
WALGREEN CO                  COM            931422109     4,954,231    152,391         X        28-12474                   152,391
WASHINGTON MUT INC           COM            939322103       314,085     63,709         X        28-12474                    63,709
WEINGARTEN RLTY INVS         SH BEN INT     948741103       206,479      6,810         X        28-12474                     6,810
WELLPOINT INC                COM            94973V107        17,968        377         X        28-12474                       377
WELLS FARGO & CO NEW         COM            949746101     2,317,976     97,599         X        28-12474                    97,599
WESTERN DIGITAL CORP         COM            958102105     1,670,009     48,364         X        28-12474                    48,364
                                                             12,155        352         X        28-12474                       352
WEYERHAEUSER CO              COM            962166104       256,467      5,015         X        28-12474                     5,015
WHIRLPOOL CORP               COM            963320106       168,832      2,735         X        28-12474                     2,735
WISDOMTREE TRUST             INTL SMCAP DIV 97717W760       745,781     13,195         X        28-12474                    13,195
WORTHINGTON INDS INC         COM            981811102       185,935      9,070         X        28-12474                     9,070
WYETH                        COM            983024100    11,130,413    232,077         X        28-12474                   232,077
                                                             14,436        301         X        28-12474                       301
XTO ENERGY INC               COM            98385X106    19,909,143    290,602         X        28-12474                   290,602
                                                             33,296        486         X        28-12474                       486
XCEL ENERGY INC              COM            98389B100       601,799     29,985         X        28-12474                    29,985
YAHOO INC                    COM            984332106       590,483     28,581         X        28-12474                    28,581
YUM BRANDS INC               COM            988498101     2,370,786     67,563         X        28-12474                    67,563
                                                              7,895        225         X        28-12474                       225
               COLUMN TOTAL                              73,390,789







                                                                                                                    FILE NO. 28-1235
PAGE 249 OF 255                FORM 13F     NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 06/30/08

                                                                                  ITEM 6:
                                                                   ITEM 5:      INVESTMENT                      ITEM 8:
                                            ITEM 3:    ITEM 4:    SHARES OR     DISCRETION    ITEM 7: VOTING AUTHORITY (SHARES)
            ITEM 1:            ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL     (B)SHARED    MANAGERS             (B)
       NAME OF ISSUER       TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE   (C)OTH INSTR V    (A)SOLE  SHARED (C)NONE
--------------------------- -------------- --------- ----------- ---------- -------   ------ -------- ---------- ------ -------
                                                                                          
ACCENTURE LTD                CL A          G1150G111     193,339      4,748         X        28-12474      4,748
ADOBE SYSTEMS INC            COM           00724F101     235,985      5,991         X        28-12474      5,991
AFLAC INC                    COM           001055102     183,627      2,924         X        28-12474      2,924
AKAMAI TECHNOLOGIES INC      COM           00971T101     190,440      5,474         X        28-12474      5,474
AKAMAI TECHNOLOGIES INC      COM           00971T101     939,678     27,010         X        28-12474     27,010
ALASKA AIR GROUP INC         COM           011659109     135,698      8,846         X        28-12474      8,846
ALEXANDRIA REAL ESTATE
EQUITIES INC                 COM           015271109   3,802,100     39,060         X        28-12474     39,060
ALLEGHENY TECHNOLOGIES INC   COM           01741R102     123,895      2,090         X        28-12474      2,090
AMB PROPERTY CORP            COM           00163T109   1,814,940     36,025         X        28-12474     36,025
AMERICAN CAMPUS COMMUNITIES
INC                          COM           024835100   1,233,312     44,300         X        28-12474     44,300
AMERICAN EXPRESS CO          COM           025816109     215,774      5,728         X        28-12474      5,728
AMERICAN INTERNATIONAL GROUP
INC                          COM           026874107     164,978      6,235         X        28-12474      6,235
AMERICAN INTERNATIONAL GROUP
INC                          COM           026874107   1,173,977     44,368         X        28-12474     44,368
AMERICAN INTERNATIONAL GROUP
INC                          COM           026874107   3,952,410    149,373         X        28-12474    149,373
AMERICAN TOWER CORP          CL A          029912201     268,034      6,344         X        28-12474      6,344
AMGEN INC                    COM           031162100     749,278     15,888         X        28-12474     15,888
AMGEN INC                    COM           031162100   1,673,331     35,482         X        28-12474     35,482
ANNALY CAPITAL MANAGEMENT
INC                          COM           035710409   1,955,501    126,080         X        28-12474    126,080
APPLE INC                    COM           037833100     195,068      1,165         X        28-12474      1,165
APPLE INC                    COM           037833100     878,223      5,245         X        28-12474      5,245
AT&T INC                     COM           00206R102     204,431      6,068         X        28-12474      6,068
AT&T INC                     COM           00206R102     738,620     21,924         X        28-12474     21,924
AVERY DENNISON CORP          COM           053611109     294,155      6,696         X        28-12474      6,696
BAKER HUGHES INC             COM           057224107     401,764      4,600         X        28-12474      4,600
BANK OF AMERICA CORP         COM           060505104     749,757     31,410         X        28-12474     31,410
BEST BUY CO INC              COM           086516101     325,789      8,227         X        28-12474      8,227
BEST BUY CO INC              COM           086516101   2,457,140     62,049         X        28-12474     62,049
BJ SERVICES CO               COM           055482103     162,830      5,098         X        28-12474      5,098
BOSTON PROPERTIES INC        COM           101121101   4,327,853     47,970         X        28-12474     47,970
BOSTON SCIENTIFIC CORP       COM           101137107     360,257     29,313         X        28-12474     29,313
BOSTON SCIENTIFIC CORP       COM           101137107     482,800     39,284         X        28-12474     39,284
BOSTON SCIENTIFIC CORP       COM           101137107   2,764,611    224,948         X        28-12474    224,948
BP PLC                       SPON ADR      055622104     742,103     10,667         X        28-12474     10,667
BP PLC                       SPON ADR      055622104   1,962,918     28,215         X        28-12474     28,215
BRINKER INTERNATIONAL INC    COM           109641100     258,609     13,683         X        28-12474     13,683
BROADCOM CORP                CL A          111320107     323,305     11,847         X        28-12474     11,847






                                                                                                                    FILE NO. 28-1235
PAGE 250 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                  ITEM 6:
                                                                   ITEM 5:      INVESTMENT                      ITEM 8:
                                            ITEM 3:    ITEM 4:    SHARES OR     DISCRETION    ITEM 7: VOTING AUTHORITY (SHARES)
            ITEM 1:            ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL     (B)SHARED    MANAGERS             (B)
       NAME OF ISSUER       TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE   (C)OTH INSTR V    (A)SOLE  SHARED (C)NONE
--------------------------- -------------- --------- ----------- ---------- -------   ------ -------- ---------- ------ -------
                                                                                          

BROOKFIELD PROPERTIES CORP   COM           112900105   1,290,665     72,550         X        28-12474     72,550
CAMDEN PROPERTY TRUST        SH BEN INT    133131102     867,496     19,600         X        28-12474     19,600
CAPITAL ONE FINANCIAL CORP   COM           14040H105   1,181,275     31,078         X        28-12474     31,078
CAPITAL ONE FINANCIAL CORP   COM           14040H105   4,066,500    106,985         X        28-12474    106,985
CBL & ASSOCIATES PROPERTIES
INC                          COM           124830100   1,199,328     52,510         X        28-12474     52,510
CBL & ASSOCIATES PROPERTIES
INC                          COM           124830100     155,997      6,830         X        28-12474      6,830
CEPHALON INC                 COM           156708109     168,526      2,527         X        28-12474      2,527
CEPHALON INC                 COM           156708109     274,896      4,122         X        28-12474      4,122
CEPHALON INC                 COM           156708109   1,641,441     24,613         X        28-12474     24,613
CHARLES SCHWAB CORP/THE      COM           808513105     185,558      9,034         X        28-12474      9,034
CIRCUIT CITY STORES INC      COM           172737108     489,890    169,512         X        28-12474    169,512
CISCO SYSTEMS INC            COM           17275R102     665,957     28,631         X        28-12474     28,631
CISCO SYSTEMS INC            COM           17275R102     370,904     15,946         X        28-12474     15,946
CISCO SYSTEMS INC            COM           17275R102   4,473,270    192,316         X        28-12474    192,316
CITIGROUP INC                COM           172967101   1,161,502     69,302         X        28-12474     69,302
CITIGROUP INC                COM           172967101   3,379,218    201,624         X        28-12474    201,624
COGNIZANT TECHNOLOGY
SOLUTIONS CORP               CL A          192446102     289,664      8,910         X        28-12474      8,910
COGNIZANT TECHNOLOGY
SOLUTIONS CORP               CL A          192446102   1,673,290     51,470         X        28-12474     51,470
COLDWATER CREEK INC          COM           193068103     232,146     43,967         X        28-12474     43,967
COLDWATER CREEK INC          COM           193068103   2,060,789    390,301         X        28-12474    390,301
COMCAST CORP                 CL A          20030N101     224,510     11,835         X        28-12474     11,835
COMCAST CORP                 CL A          20030N101     360,164     18,986         X        28-12474     18,986
COMCAST CORP                 CL A          20030N101   1,939,379    102,234         X        28-12474    102,234
CONOCOPHILLIPS               COM           20825C104     210,301      2,228         X        28-12474      2,228
CONOCOPHILLIPS               COM           20825C104   2,514,833     26,643         X        28-12474     26,643
CORPORATE OFFICE PROPERTIES
TRUST SBI MD                 SH BEN INT    22002T108   2,321,395     67,620         X        28-12474     67,620
COUNTRYWIDE FINANCIAL CORP   COM           222372104     115,664     27,215         X        28-12474     27,215
COVENTRY HEALTH CARE INC     COM           222862104     108,904      3,580         X        28-12474      3,580
COVENTRY HEALTH CARE INC     COM           222862104     473,244     15,557         X        28-12474     15,557
COVENTRY HEALTH CARE INC     COM           222862104   2,418,785     79,513         X        28-12474     79,513
DANAHER CORP                 COM           235851102     363,465      4,702         X        28-12474      4,702
DANAHER CORP                 COM           235851102   2,278,727     29,479         X        28-12474     29,479
DELL INC                     COM           24702R101     415,348     18,983         X        28-12474     18,983
DEVELOPERS DIVERSIFIED
REALTY CORP                  COM           251591103   3,169,717     91,320         X        28-12474     91,320
DIGITAL REALTY TRUST INC     COM           253868103   2,448,464     59,850         X        28-12474     59,850
DISH NETWORK CORP            CL A           25470M109     170,702      5,830         X        28-12474      5,830
DOUGLAS EMMETT INC           COM           25960P109     602,527     27,425         X        28-12474     27,425






                                                                                                                    FILE NO. 28-1235
PAGE 251 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                    ITEM 6:
                                                                     ITEM 5:      INVESTMENT                      ITEM 8:
                                              ITEM 3:    ITEM 4:    SHARES OR     DISCRETION    ITEM 7: VOTING AUTHORITY (SHARES)
            ITEM 1:            ITEM 2:        CUSIP    FAIR MARKET  PRINCIPAL     (B)SHARED    MANAGERS             (B)
       NAME OF ISSUER       TITLE OF CLASS    NUMBER      VALUE      AMOUNT   (A)SOLE   (C)OTH INSTR V    (A)SOLE  SHARED (C)NONE
--------------------------- ---------------  --------- ----------- ---------- -------   ------ -------- ---------- ------ -------
                                                                                            
DOVER CORP                   COM             260003108     348,312      7,201         X        28-12474      7,201
DOVER CORP                   COM             260003108     486,022     10,048         X        28-12474     10,048
DOVER CORP                   COM             260003108   2,276,921     47,073         X        28-12474     47,073
EASTGROUP PROPERTIES INC     COM             277276101   1,259,544     29,360         X        28-12474     29,360
EATON CORP                   COM             278058102   1,183,632     13,930         X        28-12474     13,930
EBAY INC                     COM             278642103     248,703      9,100         X        28-12474      9,100
EBAY INC                     COM             278642103     973,631     35,625         X        28-12474     35,625
ELI LILLY & CO               COM             532457108     142,311      3,083         X        28-12474      3,083
EMC CORP/MASSACHUSETTS       COM             268648102     385,862     26,267         X        28-12474     26,267
EMC CORP/MASSACHUSETTS       COM             268648102   2,586,586    176,078         X        28-12474    176,078
ENTERTAINMENT PROPERTIES
TRUST                        COM SH BEN INT  29380T105   1,336,610     27,035         X        28-12474     27,035
EQUITY RESIDENTIAL           SH BEN INT      29476L107   2,176,989     56,885         X        28-12474     56,885
ESSEX PROPERTY TRUST INC     COM             297178105   1,779,615     16,710         X        28-12474     16,710
EW SCRIPPS CO                CL A            811054204     125,659      3,025         X        28-12474      3,025
EW SCRIPPS CO                CL A            811054204   1,022,216     24,608         X        28-12474     24,608
EXXON MOBIL CORP             COM             30231G102     487,888      5,536         X        28-12474      5,536
EXXON MOBIL CORP             COM             30231G102   4,853,760     55,075         X        28-12474     55,075
FEDERAL REALTY INVESTMENT
TRUST                        SH BEN INT      313747206   1,863,000     27,000         X        28-12474     27,000
FEDEX CORP                   COM             31428X106     383,235      4,864         X        28-12474      4,864
FEDEX CORP                   COM             31428X106     194,060      2,463         X        28-12474      2,463
FEDEX CORP                   COM             31428X106   2,436,817     30,928         X        28-12474     30,928
FIDELITY NATIONAL FINANCIAL
INC                          CL A            31620R105     166,988     13,253         X        28-12474     13,253
FIDELITY NATIONAL FINANCIAL
INC                          CL A            31620R105     720,178     57,157         X        28-12474     57,157
FLEXTRONICS INTERNATIONAL
LTD                          ORD             Y2573F102     896,459     95,368         X        28-12474     95,368
FLEXTRONICS INTERNATIONAL
LTD                          ORD             Y2573F102   1,297,952    138,080         X        28-12474    138,080
FRANKLIN RESOURCES INC       COM             354613101     233,616      2,549         X        28-12474      2,549
FRANKLIN RESOURCES INC       COM             354613101   1,620,647     17,683         X        28-12474     17,683
GENERAL ELECTRIC CO          COM             369604103   1,062,876     39,823         X        28-12474     39,823
GENERAL ELECTRIC CO          COM             369604103   3,566,531    133,628         X        28-12474    133,628
GENERAL GROWTH PROPERTIES
INC                          COM             370021107   4,511,339    128,785         X        28-12474    128,785
GENZYME CORP                 COM             372917104     392,293      5,447         X        28-12474      5,447
GENZYME CORP                 COM             372917104   3,235,715     44,928         X        28-12474     44,928
GILDAN ACTIVEWEAR INC        COM             375916103     433,257     16,741         X        28-12474     16,741
GILDAN ACTIVEWEAR INC        COM             375916103   1,726,455     66,710         X        28-12474     66,710
GOODRICH CORP                COM             382388106     600,749     12,658         X        28-12474     12,658
GOOGLE INC                   CL A            38259P508     221,096        420         X        28-12474        420
GRAMERCY CAPITAL CORP/NEW
YORK                         COM             384871109   1,326,186    114,425         X        28-12474    114,425






                                                                                                                    FILE NO. 28-1235
PAGE 252 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                   ITEM 6:
                                                                    ITEM 5:      INVESTMENT                      ITEM 8:
                                             ITEM 3:    ITEM 4:    SHARES OR     DISCRETION    ITEM 7: VOTING AUTHORITY (SHARES)
            ITEM 1:            ITEM 2:       CUSIP    FAIR MARKET  PRINCIPAL     (B)SHARED    MANAGERS             (B)
       NAME OF ISSUER       TITLE OF CLASS   NUMBER      VALUE      AMOUNT   (A)SOLE   (C)OTH INSTR V    (A)SOLE  SHARED (C)NONE
--------------------------- --------------- --------- ----------- ---------- -------   ------ -------- ---------- ------ -------
                                                                                           
HALLIBURTON CO               COM            406216101     224,380      4,228         X        28-12474      4,228
HALLIBURTON CO               COM            406216101   2,674,250     50,391         X        28-12474     50,391
HANSEN NATURAL CORP          COM            411310105     270,879      9,399         X        28-12474      9,399
HANSEN NATURAL CORP          COM            411310105     880,163     30,540         X        28-12474     30,540
HCC INSURANCE HOLDINGS INC   COM            404132102     164,892      7,800         X        28-12474      7,800
HCP INC                      COM            40414L109   2,350,600     73,895         X        28-12474     73,895
HEALTH MANAGEMENT ASSOCIATES
INC                          CL A           421933102     173,980     26,725         X        28-12474     26,725
HERSHA HOSPITALITY TRUST     SH BEN INT A   427825104     390,788     51,760         X        28-12474     51,760
HOLOGIC INC                  COM            436440101     164,198      7,532         X        28-12474      7,532
HOME DEPOT INC               COM            437076102     945,419     40,368         X        28-12474     40,368
HOME DEPOT INC               COM            437076102   2,014,050     85,997         X        28-12474     85,997
HOST HOTELS & RESORTS INC    COM            44107P104   2,681,993    196,483         X        28-12474    196,483
INTEL CORP                   COM            458140100     271,937     12,660         X        28-12474     12,660
INTEL CORP                   COM            458140100     539,921     25,136         X        28-12474     25,136
INTEL CORP                   COM            458140100   2,827,863    131,651         X        28-12474    131,651
JABIL CIRCUIT INC            COM            466313103     261,231     15,919         X        28-12474     15,919
JABIL CIRCUIT INC            COM            466313103   1,023,081     62,345         X        28-12474     62,345
JABIL CIRCUIT INC            COM            466313103   2,589,317    157,789         X        28-12474    157,789
KIMCO REALTY CORP            COM            49446R109   4,470,340    129,500         X        28-12474    129,500
KINETIC CONCEPTS INC         COM            49460W208     249,038      6,240         X        28-12474      6,240
KINETIC CONCEPTS INC         COM            49460W208     283,361      7,100         X        28-12474      7,100
KINETIC CONCEPTS INC         COM            49460W208   1,757,636     44,040         X        28-12474     44,040
KOHL'S CORP                  COM            500255104     383,503      9,578         X        28-12474      9,578
KOHL'S CORP                  COM            500255104     879,399     21,963         X        28-12474     21,963
KOHL'S CORP                  COM            500255104   3,489,566     87,152         X        28-12474     87,152
LASALLE HOTEL PROPERTIES     COM SH BEN INT 517942108     992,007     39,475         X        28-12474     39,475
LAZARD LTD                   SHS A          G54050102     204,559      5,990         X        28-12474      5,990
LOWE'S COS INC               COM            548661107     318,533     15,351         X        28-12474     15,351
LOWE'S COS INC               COM            548661107     326,335     15,727         X        28-12474     15,727
MACERICH CO/THE              COM            554382101   3,924,131     63,160         X        28-12474     63,160
MACK-CALI REALTY CORP        COM            554489104     852,883     24,960         X        28-12474     24,960
MASCO CORP                   COM            574599106     371,558     23,621         X        28-12474     23,621
MASCO CORP                   COM            574599106   1,150,241     73,124         X        28-12474     73,124
MEDICAL PROPERTIES TRUST INC COM            58463J304     612,928     60,566         X        28-12474     60,566
MERRILL LYNCH & CO INC       COM            590188108     553,340     17,450         X        28-12474     17,450
MERRILL LYNCH & CO INC       COM            590188108   2,050,337     64,659         X        28-12474     64,659
MICROCHIP TECHNOLOGY INC     COM            595017104     204,007      6,680         X        28-12474      6,680






                                                                                                                    FILE NO. 28-1235
PAGE 253 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                  ITEM 6:
                                                                   ITEM 5:      INVESTMENT                      ITEM 8:
                                            ITEM 3:    ITEM 4:    SHARES OR     DISCRETION    ITEM 7: VOTING AUTHORITY (SHARES)
            ITEM 1:            ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL     (B)SHARED    MANAGERS             (B)
       NAME OF ISSUER       TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE   (C)OTH INSTR V    (A)SOLE  SHARED (C)NONE
--------------------------- -------------- --------- ----------- ---------- -------   ------ -------- ---------- ------ -------
                                                                                          
MICROCHIP TECHNOLOGY INC     COM           595017104     839,514     27,489         X        28-12474     27,489
MICROSOFT CORP               COM           594918104   1,088,626     39,572         X        28-12474     39,572
MICROSOFT CORP               COM           594918104     672,069     24,430         X        28-12474     24,430
MICROSOFT CORP               COM           594918104   5,376,169    195,426         X        28-12474    195,426
MID-AMERICA APARTMENT
COMMUNITIES INC              COM           59522J103     624,474     12,235         X        28-12474     12,235
MORGAN STANLEY               COM           617446448     227,602      6,310         X        28-12474      6,310
MORGAN STANLEY               COM           617446448     608,501     16,870         X        28-12474     16,870
MORGAN STANLEY               COM           617446448   1,800,254     49,910         X        28-12474     49,910
MOTOROLA INC                 COM           620076109     251,461     34,259         X        28-12474     34,259
MOTOROLA INC                 COM           620076109     548,078     74,670         X        28-12474     74,670
NABORS INDUSTRIES LTD        SHS           G6359F103     179,591      3,648         X        28-12474      3,648
NABORS INDUSTRIES LTD        SHS           G6359F103     431,156      8,758         X        28-12474      8,758
NABORS INDUSTRIES LTD        SHS           G6359F103   1,715,813     34,853         X        28-12474     34,853
NALCO HOLDING CO             COM           62985Q101     142,551      6,740         X        28-12474      6,740
NATIONWIDE HEALTH PROPERTIES
INC                          COM           638620104     972,884     30,895         X        28-12474     30,895
NEWS CORP                    CL A          65248E104     462,375     30,743         X        28-12474     30,743
NEWS CORP                    CL A          65248E104   2,288,471    152,159         X        28-12474    152,159
NOVARTIS AG                  SPON ADR      66987V109     416,212      7,562         X        28-12474      7,562
NOVARTIS AG                  SPON ADR      66987V109     255,386      4,640         X        28-12474      4,640
NOVARTIS AG                  SPON ADR      66987V109   3,715,475     67,505         X        28-12474     67,505
OMEGA HEALTHCARE INVESTORS
INC                          COM           681936100   1,381,367     82,965         X        28-12474     82,965
OMNICARE INC                 COM           681904108     288,735     11,012         X        28-12474     11,012
OMNICARE INC                 COM           681904108     822,836     31,382         X        28-12474     31,382
OMNICARE INC                 COM           681904108   3,681,812    140,420         X        28-12474    140,420
ORACLE CORP                  COM           68389X105     298,830     14,230         X        28-12474     14,230
ORACLE CORP                  COM           68389X105   1,397,172     66,532         X        28-12474     66,532
OSHKOSH CORP                 COM           688239201     378,213     18,280         X        28-12474     18,280
OSHKOSH CORP                 COM           688239201   1,069,776     51,705         X        28-12474     51,705
PANERA BREAD CO              CL A          69840W108     736,413     15,919         X        28-12474     15,919
PATTERSON-UTI ENERGY INC     COM           703481101     110,859      3,076         X        28-12474      3,076
PENNSYLVANIA REAL ESTATE
INVESTMENT TRUST             SH BEN INT    709102107     832,114     35,960         X        28-12474     35,960
PEPSICO INC                  COM           713448108     322,020      5,064         X        28-12474      5,064
PEPSICO INC                  COM           713448108   1,444,065     22,709         X        28-12474     22,709
PFIZER INC                   COM           717081103   1,213,676     69,472         X        28-12474     69,472
PFIZER INC                   COM           717081103   1,963,925    112,417         X        28-12474    112,417
PHARMACEUTICAL PRODUCT
DEVELOPMENT INC              COM           717124101     259,888      6,058         X        28-12474      6,058
PLUM CREEK TIMBER CO INC     COM           729251108     745,717     17,460         X        28-12474     17,460






                                                                                                                    FILE NO. 28-1235
PAGE 254 OF 255                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 06/30/08

                                                                                  ITEM 6:
                                                                   ITEM 5:      INVESTMENT                      ITEM 8:
                                            ITEM 3:    ITEM 4:    SHARES OR     DISCRETION    ITEM 7: VOTING AUTHORITY (SHARES)
            ITEM 1:            ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL     (B)SHARED    MANAGERS             (B)
       NAME OF ISSUER       TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE   (C)OTH INSTR V    (A)SOLE  SHARED (C)NONE
--------------------------- -------------- --------- ----------- ---------- -------   ------ -------- ---------- ------ -------
                                                                                          
PNM RESOURCES INC            COM           69349H107     168,540     14,092         X        28-12474     14,092
POST PROPERTIES INC          COM           737464107     372,470     12,520         X        28-12474     12,520
PRECISION CASTPARTS CORP     COM           740189105     171,539      1,780         X        28-12474      1,780
PROCTER & GAMBLE CO          COM           742718109     339,685      5,586         X        28-12474      5,586
PROCTER & GAMBLE CO          COM           742718109   2,694,248     44,306         X        28-12474     44,306
PROLOGIS                     SH BEN INT    743410102   5,480,654    100,840         X        28-12474    100,840
PUBLIC STORAGE               COM A DP      74460D109   3,635,954     45,005         X        28-12474     45,005
QUALCOMM INC                 COM           747525103     327,761      7,387         X        28-12474      7,387
QUALCOMM INC                 COM           747525103   1,494,027     33,672         X        28-12474     33,672
REDWOOD TRUST INC            COM           758075402     363,045     15,930         X        28-12474     15,930
REGENCY CENTERS CORP         COM           758849103   3,535,967     59,810         X        28-12474     59,810
ROCKWELL COLLINS INC         COM           774341101     329,677      6,874         X        28-12474      6,874
ROCKWELL COLLINS INC         COM           774341101     663,766     13,840         X        28-12474     13,840
ROGERS COMMUNICATIONS INC    COM           775109200     107,861      2,790         X        28-12474      2,790
ROPER INDUSTRIES INC         COM           776696106     290,531      4,410         X        28-12474      4,410
SANDISK CORP                 COM           80004C101     134,285      7,181         X        28-12474      7,181
SANDISK CORP                 COM           80004C101     234,648     12,548         X        28-12474     12,548
SANDISK CORP                 COM           80004C101   1,345,147     71,933         X        28-12474     71,933
SCHLUMBERGER LTD             COM           806857108     417,903      3,890         X        28-12474      3,890
SIMON PROPERTY GROUP INC     COM           828806109   8,446,514     93,965         X        28-12474     93,965
SL GREEN REALTY CORP         COM           78440X101   4,460,759     53,926         X        28-12474     53,926
SONOCO PRODUCTS CO           COM           835495102     187,557      6,060         X        28-12474      6,060
SONOCO PRODUCTS CO           COM           835495102   1,593,925     51,500         X        28-12474     51,500
SOVRAN SELF STORAGE INC      COM           84610H108     462,978     11,140         X        28-12474     11,140
SPRINT NEXTEL CORP           COM SER 1     852061100     148,276     15,608         X        28-12474     15,608
STARBUCKS CORP               COM           855244109     215,969     13,721         X        28-12474     13,721
STARBUCKS CORP               COM           855244109   1,701,966    108,130         X        28-12474    108,130
STARWOOD HOTELS & RESORTS
WORLDWIDE INC                COM           85590A401     817,027     20,390         X        28-12474     20,390
STMICROELECTRONICS NV        NY REGISTRY   861012102     221,062     21,400         X        28-12474     21,400
STMICROELECTRONICS NV        NY REGISTRY   861012102     730,744     70,740         X        28-12474     70,740
STRATEGIC HOTELS & RESORTS
INC                          COM           86272T106     380,235     40,580         X        28-12474     40,580
SUNSTONE HOTEL INVESTORS INC COM           867892101     412,510     24,850         X        28-12474     24,850
SYMANTEC CORP                COM           871503108     156,232      8,074         X        28-12474      8,074
SYMANTEC CORP                COM           871503108     755,482     39,043         X        28-12474     39,043
TANGER FACTORY OUTLET
CENTERS                      COM           875465106     724,708     20,170         X        28-12474     20,170
TARGET CORP                  COM           87612E106     139,005      2,990         X        28-12474      2,990
TARGET CORP                  COM           87612E106   1,188,331     25,561         X        28-12474     25,561






                                                                                                                   FILE NO. 28-1235
PAGE 255 OF 255               FORM 13F      NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.           AS OF 06/30/08

                                                                                  ITEM 6:
                                                                   ITEM 5:      INVESTMENT                      ITEM 8:
                                            ITEM 3:    ITEM 4:    SHARES OR     DISCRETION    ITEM 7: VOTING AUTHORITY (SHARES)
            ITEM 1:            ITEM 2:      CUSIP    FAIR MARKET  PRINCIPAL     (B)SHARED    MANAGERS             (B)
       NAME OF ISSUER       TITLE OF CLASS  NUMBER      VALUE      AMOUNT   (A)SOLE   (C)OTH INSTR V    (A)SOLE  SHARED (C)NONE
--------------------------- -------------- --------- ----------- ---------- -------   ------ -------- ---------- ------ -------
                                                                                          
TAUBMAN CENTERS INC         COM            876664103   1,619,802     33,295         X        28-12474     33,295
TELEFLEX INC                COM            879369106     182,335      3,280         X        28-12474      3,280
TEMPUR-PEDIC INTERNATIONAL
INC                         COM            88023U101     296,936     38,020         X        28-12474     38,020
TEXAS INSTRUMENTS INC       COM            882508104     312,323     11,091         X        28-12474     11,091
TEXAS INSTRUMENTS INC       COM            882508104     119,370      4,239         X        28-12474      4,239
TEXAS INSTRUMENTS INC       COM            882508104   1,559,444     55,378         X        28-12474     55,378
TIDEWATER INC               COM            886423102     258,169      3,970         X        28-12474      3,970
TIDEWATER INC               COM            886423102     816,127     12,550         X        28-12474     12,550
TIDEWATER INC               COM            886423102   3,942,769     60,630         X        28-12474     60,630
TIME WARNER INC             COM            887317105     299,138     20,212         X        28-12474     20,212
TYCO INTL                   SHS            G9143X208     320,360      8,001         X        28-12474      8,001
UDR INC                     COM            902653104   1,459,288     65,205         X        28-12474     65,205
UNILEVER PLC                SPON ADR       904767704     118,498      4,171         X        28-12474      4,171
UNILEVER PLC                SPON ADR       904767704   1,645,933     57,935         X        28-12474     57,935
UNITED TECHNOLOGIES CORP    COM            913017109     831,284     13,473         X        28-12474     13,473
UNITEDHEALTH GROUP INC      COM            91324P102     339,938     12,950         X        28-12474     12,950
URBAN OUTFITTERS INC        COM            917047102     774,229     24,823         X        28-12474     24,823
U-STORE-IT TRUST            COM            91274F104     679,119     56,830         X        28-12474     56,830
VALSPAR CORP                COM            920355104     159,033      8,410         X        28-12474      8,410
VALSPAR CORP                COM            920355104   1,315,380     69,560         X        28-12474     69,560
VARIAN MEDICAL SYSTEMS INC  COM            92220P105     180,594      3,483         X        28-12474      3,483
VENTAS INC                  COM            92276F100   2,115,090     49,685         X        28-12474     49,685
VERIZON COMMUNICATIONS INC  COM            92343V104     191,195      5,401         X        28-12474      5,401
VISTAPRINT LTD              SHS            G93762204     105,167      3,930         X        28-12474      3,930
VODAFONE GROUP PLC          SPONS ADR      92857W209     304,057     10,321         X        28-12474     10,321
VORNADO REALTY TRUST        SH BEN INT     929042109   4,705,360     53,470         X        28-12474     53,470
WACHOVIA CORP               COM            929903102     885,163     56,997         X        28-12474     56,997
WACHOVIA CORP               COM            929903102   3,261,098    209,987         X        28-12474    209,987
WALGREEN CO                 COM            931422109     289,924      8,918         X        28-12474      8,918
WALGREEN CO                 COM            931422109     197,336      6,070         X        28-12474      6,070
WALGREEN CO                 COM            931422109   3,501,782    107,714         X        28-12474    107,714
WAL-MART STORES INC         COM            931142103     511,645      9,104         X        28-12474      9,104
WASHINGTON MUTUAL INC       COM            939322103      51,144     10,374         X        28-12474     10,374
WEINGARTEN REALTY INVESTORS SH BEN INT     948741103     784,227     25,865         X        28-12474     25,865
WEYERHAEUSER CO             COM            962166104     584,275     11,425         X        28-12474     11,425
YAHOO! INC                  COM            984332106     182,035      8,811         X        28-12474      8,811
YAHOO! INC                  COM            984332106     547,903     26,520         X        28-12474     26,520







PAGE   1 OF   1                FORM 13F        NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.           AS OF 06/30/08
         ENTITY TOTALS                                  FAIR MARKET                              ENTITY               UNITS
                                                                                                         
                                                      23,711,693,875                            28-5284           553,170,624
                                                         179,459,027                            28-11135            5,440,929
                                                         151,566,098                            28-11439            1,427,261
                                                         593,115,074                            28-4580            11,454,577
                                                       7,632,481,782                            28-4750            43,121,366
                                                           1,404,346                                                   27,721
                                                       1,548,065,628                            28-12474           44,184,203
    GRAND TOTALS                                      33,817,785,830                                              658,826,681
 NUMBER OF ISSUES                                              3,232