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

                                    Form 13F

                               Form 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: September 30, 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   November 14, 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




Page 2

                              Form 13F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:                6
Form 13F Information Table Entry Total:       3,265
Form 13F Information Table Value Total: $33,307,935
                                        (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 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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        203,313       4,026       X        28-5284      3404                622
                                                              77,366       1,532       X      X 28-5284      1213                319
                                                              78,275       1,550       X      X 28-4580      1550
DEUTSCHE BANK AG             NAMEN AKT      D18190898        110,859       1,523       X        28-5284       323               1200
                                                              20,381         280       X      X 28-5284       280
                                                              16,451         226       X        28-11135      226
AMDOCS LTD                   ORD            G02602103         91,559       3,344       X        28-5284      3344
                                                              16,428         600       X      X 28-5284       600
ARCH CAP GROUP LTD           ORD            G0450A105         42,357         580       X        28-5284       580
                                                             647,557       8,867       X      X 28-5284      8867
                                                             241,218       3,303       X        28-11135     3303
ARGO GROUP INTL HLDGS LTD    COM            G0464B107         57,265       1,554       X      X 28-5284      1230                324
ASSURED GUARANTY LTD         COM            G0585R106        204,876      12,600       X        28-5284     12600
                                                              32,520       2,000       X      X 28-5284      2000
ACCENTURE LTD BERMUDA        CL A           G1150G111     27,543,236     724,822       X        28-5284    686876              37946
                                                           8,491,024     223,448       X      X 28-5284    200879     4253     18316
                                                             187,302       4,929       X        28-11135     4929
                                                             385,206      10,137       X        28-4580     10137
                                                             105,184       2,768       X      X 28-4580      2768
BROOKFIELD INFRAST PARTNERS  LP INT UNIT    G16252101          1,825         116       X        28-5284       116
                                                              13,827         879       X      X 28-5284       479                400
                                                                  16           1       X        28-11135        1
                                                               2,139         136       X      X 28-4580       136
BUNGE LIMITED                COM            G16962105        382,808       6,059       X        28-5284      1000               5059
                                                              40,246         637       X      X 28-5284       337                300
                                                             428,171       6,777       X        28-11135     6777
CASTLEPOINT HOLDINGS LTD     COM            G19522112        287,199      25,804       X        28-11135    25804
CONSOLIDATED WATER CO INC    ORD            G23773107         16,595         975       X        28-5284       975
COOPER INDS LTD              CL A           G24182100        249,248       6,239       X        28-5284      6239
                                                           1,124,073      28,137       X      X 28-5284     26405               1732
                                                             119,850       3,000       X      X 28-4580      3000
   COLUMN TOTAL                                           41,218,374










                                                                                                                    FILE NO. 28-1235
PAGE   2 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
COVIDIEN LTD                 COM            G2552X108      2,016,161      37,503       X        28-5284     30982               6521
                                                           1,845,151      34,322       X      X 28-5284     30637     1145      2540
                                                               3,441          64       X        28-11135       64
                                                              31,557         587       X        28-4580       487                100
                                                              65,157       1,212       X      X 28-4580      1212
ENDURANCE SPECIALTY HLDGS LT SHS            G30397106         63,077       2,040       X        28-5284      2040
                                                              64,932       2,100       X      X 28-5284      1700                400
ENSTAR GROUP LIMITED         SHS            G3075P101        146,040       1,500       X        28-5284      1500
                                                             292,080       3,000       X      X 28-5284      3000
                                                             106,999       1,099       X      X 28-4580      1099
ASA LIMITED                  COM            G3156P103          6,904         124       X        28-5284       124
                                                           2,784,000      50,000       X      X 28-5284     50000
EVEREST RE GROUP LTD         COM            G3223R108          2,336          27       X        28-5284        27
                                                                 346           4       X      X 28-5284         4
                                                                 692           8       X        28-11135        8
FOSTER WHEELER LTD           *W EXP 09/24/2 G36535121         20,498         200       X        28-5284       200
FOSTER WHEELER LTD           SHS NEW        G36535139        119,091       3,298       X        28-5284      3138                160
                                                               7,222         200       X      X 28-5284       200
FRONTLINE LTD                SHS            G3682E127         88,449       1,840       X        28-5284      1840
                                                              50,618       1,053       X      X 28-5284      1053
                                                              96,140       2,000       X      X 28-4580      2000
GARMIN LTD                   ORD            G37260109        265,682       7,828       X        28-5284      7713                115
                                                             572,738      16,875       X      X 28-5284      7600               9275
HELEN OF TROY CORP LTD       COM            G4388N106          1,890          83       X        28-11135       83
HERBALIFE LTD                COM USD SHS    G4412G101          2,569          65       X        28-5284        65
INGERSOLL-RAND COMPANY LTD   CL A           G4776G101     16,203,537     519,844       X        28-5284    471499              48345
                                                          15,766,129     505,811       X      X 28-5284    467063      475     38273
                                                             114,113       3,661       X        28-11135     3661
                                                             194,283       6,233       X        28-4580      6047                186
                                                             226,855       7,278       X      X 28-4580      6006               1272
INVESCO LTD                  SHS            G491BT108         15,148         722       X        28-5284       722
   COLUMN TOTAL                                           41,173,835










                                                                                                                    FILE NO. 28-1235
PAGE   3 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
IPC HLDGS LTD                ORD            G4933P101         12,084         400       X        28-5284       400
JINPAN INTL LTD              ORD            G5138L100        188,240       8,000       X      X 28-5284      8000
KNIGHTSBRIDGE TANKERS LTD    ORD            G5299G106          2,647         100       X      X 28-5284       100
LAZARD LTD                   SHS A          G54050102            556          13       X        28-5284        13
                                                                  86           2       X      X 28-5284         2
MARVELL TECHNOLOGY GROUP LTD ORD            G5876H105      1,011,050     108,715       X        28-5284     96915              11800
                                                             115,088      12,375       X      X 28-5284     10475      325      1575
                                                             101,324      10,895       X        28-11135    10895
                                                              36,270       3,900       X        28-4580      3900
MONTPELIER RE HOLDINGS LTD   SHS            G62185106        403,570      24,444       X        28-11135    24444
NABORS INDUSTRIES LTD        SHS            G6359F103      5,952,615     238,869       X        28-5284    212122              26747
                                                             532,266      21,359       X      X 28-5284     17979     1050      2330
                                                               3,165         127       X        28-11135      127
                                                              61,851       2,482       X        28-4580      2482
NOBLE CORPORATION            SHS            G65422100        165,942       3,780       X        28-5284      3780
                                                             104,043       2,370       X      X 28-5284      1370               1000
                                                               8,429         192       X        28-4580       192
NORDIC AMERICAN TANKER SHIPP COM            G65773106         25,744         803       X        28-5284       803
                                                              67,326       2,100       X      X 28-5284      2100
OPENTV CORP                  CL A           G67543101         31,656      22,451       X      X 28-5284              22379        72
PARTNERRE LTD                COM            G6852T105          1,226          18       X        28-5284        18
                                                                 204           3       X      X 28-5284         3
PLATINUM UNDERWRITER HLDGS L COM            G7127P100          2,661          75       X        28-5284        75
QIAO XING UNIVERSAL TELEPHON ORD            G7303A109          1,853         750       X        28-5284       750
RENAISSANCERE HOLDINGS LTD   COM            G7496G103          5,200         100       X        28-5284       100
                                                                 104           2       X      X 28-5284         2
SEAGATE TECHNOLOGY           SHS            G7945J104         90,658       7,480       X        28-5284      6030               1450
                                                              39,063       3,223       X      X 28-5284      2963                260
                                                                 364          30       X        28-11135       30
   COLUMN TOTAL                                            8,965,285










                                                                                                                    FILE NO. 28-1235
PAGE   4 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
SHIP FINANCE INTERNATIONAL L SHS            G81075106         15,782         732       X        28-5284       732
                                                                 819          38       X      X 28-5284        38
SIGNET JEWELERS LIMITED      SHS            G81276100         18,751         802       X        28-5284       802
                                                              79,843       3,415       X        28-11135     3415
SINA CORP                    ORD            G81477104        648,384      18,420       X      X 28-5284     18420
SYNCORA HOLDINGS LTD         SHS            G8649T109            743         550       X        28-5284       550
UTI WORLDWIDE INC            ORD            G87210103         85,526       5,025       X        28-5284      5025
                                                             198,504      11,663       X      X 28-5284                        11663
TRANSOCEAN INC NEW           SHS            G90073100     37,907,761     345,118       X        28-5284    327531              17587
                                                          15,890,772     144,672       X      X 28-5284    135205     2081      7386
                                                           1,088,185       9,907       X        28-11135     9907
                                                             785,795       7,154       X        28-4580      6960                194
                                                             165,309       1,505       X      X 28-4580      1505
TYCO INTL LTD BERMUDA        SHS            G9143X208      3,836,021     109,538       X        28-5284    101031               8507
                                                           2,012,179      57,458       X      X 28-5284     52346     3405      1707
                                                              26,195         748       X        28-11135      748
                                                               8,510         243       X        28-4580       243
                                                              42,444       1,212       X      X 28-4580      1212
TYCO ELECTRONICS LTD         COM NEW        G9144P105      2,265,963      81,922       X        28-5284     73145               8777
                                                           1,504,400      54,389       X      X 28-5284     48472     4037      1880
                                                               1,715          62       X        28-11135       62
                                                               7,413         268       X        28-4580       268
                                                              33,524       1,212       X      X 28-4580      1212
VISTAPRINT LIMITED           SHS            G93762204         32,840       1,000       X        28-5284      1000
                                                           1,431,496      43,590       X      X 28-5284     43590
WEATHERFORD INTERNATIONAL LT COM            G95089101     11,628,834     462,563       X        28-5284    439057              23506
                                                           3,166,760     125,965       X      X 28-5284    117360     3585      5020
                                                               1,760          70       X        28-11135       70
                                                             368,175      14,645       X        28-4580     13555               1090
                                                              65,791       2,617       X      X 28-4580      2617
WHITE MTNS INS GROUP LTD     COM            G9618E107         93,950         200       X      X 28-5284       200
   COLUMN TOTAL                                           83,414,144










                                                                                                                    FILE NO. 28-1235
PAGE   5 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
WILLIS GROUP HOLDINGS LTD    SHS            G96655108      2,150,516      66,662       X        28-5284     38004              28658
                                                           1,477,669      45,805       X      X 28-5284     10720              35085
                                                                 645          20       X        28-11135       20
XOMA LTD                     ORD            G9825R107          6,300       3,000       X        28-5284      3000
XL CAP LTD                   CL A           G98255105         78,003       4,348       X        28-5284       948               3400
                                                              35,144       1,959       X      X 28-5284      1659                300
ACE LTD                      SHS            H0023R105        361,859       6,685       X        28-5284      6165                520
                                                             466,492       8,618       X      X 28-5284      7893                725
                                                           1,186,746      21,924       X        28-11135    21924
ALCON INC                    COM SHS        H01301102     25,786,848     159,661       X        28-5284    156166               3495
                                                          15,209,881      94,173       X      X 28-5284     88858      150      5165
                                                               3,392          21       X        28-11135       21
                                                             687,225       4,255       X        28-4580      4148                107
                                                             135,184         837       X      X 28-4580       837
LOGITECH INTL S A            SHS            H50430232          7,136         306       X        28-5284       306
                                                             286,929      12,304       X        28-11135    12304
UBS AG                       SHS NEW        H89231338        132,550       7,557       X        28-5284      7556                  1
                                                              49,621       2,829       X      X 28-5284      2727                102
                                                              10,401         593       X        28-11135      593
                                                              55,251       3,150       X      X 28-4580      3150
MILLICOM INTL CELLULAR S A   SHS NEW        L6388F110          3,846          56       X        28-5284        56
                                                             103,005       1,500       X      X 28-5284                         1500
                                                                 755          11       X        28-11135       11
ALLOT COMMUNICATIONS LTD     SHS            M0854Q105        147,246      60,595       X      X 28-5284              60595
ALVARION LTD                 SHS            M0861T100         17,430       3,000       X      X 28-5284      3000
CELLCOM ISRAEL LTD           SHS            M2196U109          6,012         200       X        28-5284       200
                                                              30,060       1,000       X      X 28-5284      1000
CHECK POINT SOFTWARE TECH LT ORD            M22465104        109,993       4,837       X        28-5284      4837
                                                              56,054       2,465       X      X 28-5284      2465
                                                              51,870       2,281       X      X 28-4580      2281
ECTEL LTD                    ORD            M29925100         25,940      19,358       X      X 28-5284              19358
   COLUMN TOTAL                                           48,680,003










                                                                                                                    FILE NO. 28-1235
PAGE   6 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
ELBIT SYS LTD                ORD            M3760D101          5,167         100       X        28-5284       100
                                                           1,596,603      30,900       X      X 28-5284     25400               5500
JACADA LTD                   ORD            M6184R101         35,017       9,215       X      X 28-5284               9215
MIND C T I LTD               ORD            M70240102      1,574,528   1,444,521       X      X 28-5284            1444521
RADVISION LTD                ORD            M81869105        144,240      24,000       X      X 28-5284              24000
TEFRON LTD                   ORD            M87482101         22,200      12,000       X      X 28-5284              12000
ASM INTL N V                 COM            N07045102          2,618         140       X        28-5284       140
ASML HOLDING N V             NY REG SHS     N07059186          1,532          87       X        28-5284        87
CNH GLOBAL N V               SHS NEW        N20935206          3,813         173       X        28-5284       173
CORE LABORATORIES N V        COM            N22717107         53,294         526       X        28-5284       526
                                                           1,126,172      11,115       X      X 28-5284      9035               2080
                                                               4,762          47       X        28-11135       47
QIAGEN N V                   ORD            N72482107        116,131       5,886       X      X 28-5284      5532                354
BANCO LATINOAMERICANO DE EXP CL E           P16994132        200,323      13,892       X        28-11135    13892
STEINER LEISURE LTD          ORD            P8744Y102        194,247       5,650       X        28-11135     5650
EXCEL MARITIME CARRIERS LTD  COM            V3267N107         29,994       1,989       X      X 28-5284      1989
ROYAL CARIBBEAN CRUISES LTD  COM            V7780T103         78,850       3,800       X        28-5284      3800
                                                              10,271         495       X      X 28-5284       495
                                                             234,039      11,279       X        28-11135    11279
DIANA SHIPPING INC           COM            Y2066G104         15,752         800       X        28-5284       800
                                                             193,336       9,819       X      X 28-5284      9819
DRYSHIPS INC                 SHS            Y2109Q101          1,775          50       X        28-5284        50
                                                              17,745         500       X      X 28-5284       500
EAGLE BULK SHIPPING INC      COM            Y2187A101          6,970         500       X        28-5284       500
                                                             195,857      14,050       X      X 28-5284     14050
                                                               1,394         100       X      X 28-4580       100
   COLUMN TOTAL                                            5,866,630










                                                                                                                    FILE NO. 28-1235
PAGE   7 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
FLEXTRONICS INTL LTD         ORD            Y2573F102      6,072,700     857,726       X        28-5284    782141              75585
                                                             730,344     103,156       X      X 28-5284     86373              16783
GENCO SHIPPING & TRADING LTD SHS            Y2685T107         15,124         455       X        28-5284       455
                                                             870,556      26,190       X      X 28-5284     26190
                                                              37,461       1,127       X        28-11135     1127
GENERAL MARITIME CORP        SHS            Y2692M103          2,922         150       X      X 28-5284       150
OCEANFREIGHT INC             SHS            Y64202107          4,041         300       X      X 28-5284                          300
SEASPAN CORP                 SHS            Y75638109         39,798       2,200       X        28-5284      2200
                                                             582,950      32,225       X      X 28-5284     23250               8975
                                                              54,270       3,000       X        28-4580                         3000
STAR BULK CARRIERS CORP      COM            Y8162K105         35,000       5,000       X        28-5284      5000
STAR BULK CARRIERS CORP      *W EXP 12/16/2 Y8162K113         34,400      20,000       X        28-5284     20000
TEEKAY LNG PARTNERS L P      PRTNRSP UNITS  Y8564M105         78,500       5,000       X        28-5284      5000
                                                              48,670       3,100       X      X 28-5284      1100               2000
TEEKAY CORPORATION           COM            Y8564W103          2,638         100       X        28-5284       100
                                                               1,319          50       X      X 28-5284        50
TEEKAY TANKERS LTD           CL A           Y8565N102        101,580       6,000       X      X 28-5284      6000
VERIGY LTD                   SHS            Y93691106         48,514       2,980       X        28-5284      2935                 45
                                                              87,619       5,382       X      X 28-5284      4904                478
                                                                 244          15       X        28-11135       15
                                                                 586          36       X        28-4580        36
AAR CORP                     COM            000361105          5,309         320       X        28-5284                          320
                                                              24,885       1,500       X      X 28-5284                         1500
ABB LTD                      SPONSORED ADR  000375204     26,764,395   1,379,608       X        28-5284   1317293              62315
                                                          15,781,163     813,462       X      X 28-5284    772143     6703     34616
                                                             391,182      20,164       X        28-11135    20164
                                                             642,218      33,104       X        28-4580     32722                382
                                                             101,540       5,234       X      X 28-4580      5234
   COLUMN TOTAL                                           52,559,928










                                                                                                                    FILE NO. 28-1235
PAGE   8 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
ACCO BRANDS CORP             COM            00081T108         21,617       2,867       X        28-5284      2867
                                                              47,540       6,305       X      X 28-5284      6180                125
                                                                 392          52       X      X 28-4580        52
A C MOORE ARTS & CRAFTS INC  COM            00086T103          3,762         600       X      X 28-5284       600
A D C TELECOMMUNICATIONS     COM NEW        000886309            803          95       X        28-5284        95
                                                             119,145      14,100       X      X 28-5284       550              13550
ABM INDS INC                 COM            000957100          7,862         360       X        28-5284                          360
AFLAC INC                    COM            001055102      6,195,540     105,456       X        28-5284     91489              13967
                                                           4,719,505      80,332       X      X 28-5284     65945      400     13987
                                                             512,946       8,731       X        28-11135     8731
AGCO CORP                    COM            001084102          1,875          44       X        28-5284        44
AGL RES INC                  COM            001204106         55,762       1,777       X        28-5284      1150                627
                                                             239,367       7,628       X      X 28-5284      5678               1950
A H BELO CORP                COM CL A       001282102            975         189       X        28-5284       189
AES CORP                     COM            00130H105         98,547       8,430       X        28-5284      7582                848
                                                              72,069       6,165       X      X 28-5284      6165
                                                                  70           6       X        28-11135        6
AK STL HLDG CORP             COM            001547108         82,633       3,188       X        28-5284      3188
                                                              57,024       2,200       X      X 28-5284      2200
AMB PROPERTY CORP            COM            00163T109        398,867       8,805       X        28-5284      8805
                                                              23,556         520       X      X 28-5284       520
AMAG PHARMACEUTICALS INC     COM            00163U106         19,365         500       X        28-5284       500
AMDL INC                     COM PAR 2006   00167K500         10,411       5,339       X        28-5284      5339
AMR CORP                     COM            001765106          9,280         945       X        28-5284       465                480
                                                               2,592         264       X      X 28-5284       264
   COLUMN TOTAL                                           12,701,505










                                                                                                                    FILE NO. 28-1235
PAGE   9 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
AT&T INC                     COM            00206R102    126,602,486   4,534,473       X        28-5284   4305223             229250
                                                          95,050,764   3,404,397       X      X 28-5284   3100932    23040    280425
                                                           1,629,160      58,351       X        28-11135    58351
                                                           3,913,854     140,181       X        28-4580    139976                205
                                                           3,187,375     114,161       X      X 28-4580    112238      425      1498
ATMI INC                     COM            00207R101          4,855         270       X        28-5284                          270
ATP OIL & GAS CORP           COM            00208J108             18           1       X        28-11135        1
A S DAMPSKIBSSELSKABET TORM  SPONSORED ADR  00208W109          7,851         330       X        28-5284       330
ATC TECHNOLOGY CORP          COM            00211W104      1,305,700      55,000       X      X 28-5284     55000
                                                             221,898       9,347       X        28-11135     9347
AU OPTRONICS CORP            SPONSORED ADR  002255107          5,180         456       X        28-5284       456
                                                                 307          27       X      X 28-5284        27
AVX CORP NEW                 COM            002444107         12,228       1,200       X      X 28-5284                         1200
AXT INC                      COM            00246W103          3,760       2,000       X      X 28-5284      2000
AARON RENTS INC              COM            002535201         12,236         452       X        28-5284                          452
ABBOTT LABS                  COM            002824100     78,080,092   1,356,028       X        28-5284   1301427              54601
                                                         121,609,478   2,112,009       X      X 28-5284   1972466     9395    130148
                                                              96,504       1,676       X        28-11135     1676
                                                           1,684,042      29,247       X        28-4580     29247
                                                           3,002,624      52,147       X      X 28-4580     50825     1322
ABERCROMBIE & FITCH CO       CL A           002896207      1,788,584      45,338       X        28-5284     43948               1390
                                                           1,176,399      29,820       X      X 28-5284     29420                400
                                                             190,031       4,817       X        28-11135     4817
                                                              35,702         905       X        28-4580       905
                                                               1,973          50       X      X 28-4580        50
ABERDEEN ASIA PACIFIC INCOM  COM            003009107         61,992      12,349       X      X 28-5284      9849               2500
ABIOMED INC                  COM            003654100        386,950      21,800       X      X 28-5284     21800
ABRAXIS BIOSCIENCE INC NEW   COM            00383Y102          5,172          75       X      X 28-5284        75
ACADIA PHARMACEUTICALS INC   COM            004225108            536         200       X      X 28-5284       200
   COLUMN TOTAL                                          440,077,751










                                                                                                                    FILE NO. 28-1235
PAGE  10 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
ACCENTIA BIOPHARMACEUTICALS  COM            00430L103         51,748      95,830       X        28-5284     95830
ACCESS INTEGRATED TECHNLGS I CL A           004329108          5,720       4,000       X        28-5284      4000
ACERGY S A                   SPONSORED ADR  00443E104            775          77       X        28-5284        77
                                                               5,030         500       X      X 28-5284       500
ACME UTD CORP                COM            004816104        427,000      35,000       X        28-5284                        35000
ACTEL CORP                   COM            004934105          2,621         210       X        28-5284                          210
ACTIVE POWER INC             COM            00504W100          2,364       4,006       X      X 28-5284      4006
ACTIVIDENTITY CORP           COM            00506P103         45,200      20,000       X      X 28-5284              20000
ACTIVISION BLIZZARD INC      COM            00507V109         15,430       1,000       X        28-5284      1000
                                                               6,789         440       X      X 28-5284       440
                                                              21,525       1,395       X        28-11135     1395
ACTUANT CORP                 CL A NEW       00508X203         18,627         738       X        28-5284       738
                                                             245,838       9,740       X      X 28-5284      9740
                                                                 177           7       X        28-11135        7
ACUITY BRANDS INC            COM            00508Y102         14,198         340       X        28-5284                          340
                                                              25,056         600       X      X 28-5284                600
ACXIOM CORP                  COM            005125109          1,041          83       X        28-5284        83
ADAMS EXPRESS CO             COM            006212104         29,903       2,775       X        28-5284      2775
                                                              31,962       2,966       X      X 28-5284      2966
ADAPTEC INC                  COM            00651F108          2,198         670       X        28-5284                          670
                                                             503,703     153,568       X      X 28-5284             153568
ADMINISTAFF INC              COM            007094105          5,172         190       X        28-5284                          190
                                                                 953          35       X        28-11135       35
ADOBE SYS INC                COM            00724F101      2,456,455      62,236       X        28-5284     50733              11503
                                                           1,453,009      36,813       X      X 28-5284     32496               4317
                                                              75,467       1,912       X        28-11135     1912
ADTRAN INC                   COM            00738A106         14,033         720       X        28-5284       720
                                                              52,623       2,700       X      X 28-5284      2700
   COLUMN TOTAL                                            5,514,617










                                                                                                                    FILE NO. 28-1235
PAGE  11 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
ADVANCE AMER CASH ADVANCE CT COM            00739W107            697         233       X        28-5284       233
ADVANCE AUTO PARTS INC       COM            00751Y106         70,952       1,789       X      X 28-5284      1789
                                                               5,076         128       X        28-11135      128
ADVANCED PHOTONIX INC        CL A           00754E107        117,303      67,030       X        28-5284     67030
ADVANTAGE ENERGY INCOME FD   TR UNIT        00762L101         70,609       7,700       X        28-5284      5700               2000
                                                              26,593       2,900       X      X 28-5284      2900
ADVANTEST CORP               SPON ADR NEW   00762U200        115,952       5,431       X        28-11135     5431
ADVANCED MEDICAL OPTICS INC  COM            00763M108          7,930         446       X        28-5284       446
                                                              80,721       4,540       X      X 28-5284      4540
                                                                 942          53       X      X 28-4580        53
ADVENT CLAY GBL CONV SEC INC COM BENE INTER 007639107          8,240       1,000       X      X 28-5284      1000
ADVANCED LIFE SCIENCES HLDGS COM            00765H107        104,616     129,156       X        28-5284    129156
AEROPOSTALE                  COM            007865108         65,890       2,052       X        28-5284      2052
                                                             646,792      20,143       X      X 28-5284     20143
                                                             256,174       7,978       X        28-11439     7978
ADVANCED MICRO DEVICES INC   COM            007903107          8,925       1,700       X        28-5284      1700
                                                              52,500      10,000       X      X 28-5284     10000
AEGON N V                    NY REGISTRY SH 007924103        276,640      31,508       X        28-5284     31508
                                                           1,792,569     204,165       X      X 28-5284    202816     1001       348
                                                             265,577      30,248       X        28-11135    30248
ADVANTA CORP                 CL A           007942105      4,436,093     899,816       X        28-5284     10176             889640
ADVANTA CORP                 CL B           007942204      1,281,238     155,679       X        28-5284    155679
ADVANCED ENERGY INDS         COM            007973100          3,694         270       X        28-5284                          270
                                                             309,442      22,620       X        28-11135    22620
ADVENT SOFTWARE INC          COM            007974108         47,349       1,344       X        28-5284                         1344
AEROVIRONMENT INC            COM            008073108         86,265       2,700       X      X 28-5284                         2700
   COLUMN TOTAL                                           10,138,779










                                                                                                                    FILE NO. 28-1235
PAGE  12 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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         57,525       1,500       X        28-5284      1500
                                                              81,686       2,130       X      X 28-5284      2130
                                                               3,835         100       X        28-11135      100
AETNA INC NEW                COM            00817Y108        786,295      21,775       X        28-5284     17445               4330
                                                           2,271,463      62,904       X      X 28-5284     62704                200
                                                              47,232       1,308       X        28-11135     1308
AFFILIATED COMPUTER SERVICES CL A           008190100      1,527,811      30,176       X        28-5284     30176
                                                           1,156,896      22,850       X      X 28-5284     22850
                                                               2,835          56       X        28-11135       56
AFFILIATED MANAGERS GROUP    COM            008252108        114,913       1,387       X        28-5284       647                740
                                                               9,693         117       X        28-11135      117
AFFYMETRIX INC               COM            00826T108          1,548         200       X        28-5284       200
AGILENT TECHNOLOGIES INC     COM            00846U101      2,813,815      94,869       X        28-5284     84799              10070
                                                           3,484,338     117,476       X      X 28-5284    111193      805      5478
                                                               4,093         138       X        28-11135      138
                                                              52,647       1,775       X        28-4580       860                915
                                                              28,770         970       X      X 28-4580       610      360
AGILYSYS INC                 COM            00847J105         80,720       8,000       X      X 28-5284      8000
AGNICO EAGLE MINES LTD       COM            008474108        143,733       2,610       X        28-5284      1000               1610
                                                             229,091       4,160       X      X 28-5284      3910                250
AGRIUM INC                   COM            008916108         22,432         400       X        28-5284       400
                                                             856,342      15,270       X      X 28-5284     15220                 50
                                                              55,071         982       X        28-11135      982
AIR METHODS CORP             COM PAR $.06   009128307         33,830       1,195       X        28-11135     1195
AIR PRODS & CHEMS INC        COM            009158106     21,558,734     314,772       X        28-5284    300227              14545
                                                          21,001,089     306,630       X      X 28-5284    269473     7375     29782
                                                              19,657         287       X        28-11135      287
                                                             199,306       2,910       X        28-4580      2910
                                                             331,012       4,833       X      X 28-4580      4833
AIRGAS INC                   COM            009363102         63,304       1,275       X        28-5284      1275
                                                             587,757      11,838       X      X 28-5284     11838
                                                             574,202      11,565       X        28-11135    11565
   COLUMN TOTAL                                           58,201,675










                                                                                                                    FILE NO. 28-1235
PAGE  13 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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          6,204       1,034       X        28-5284      1034
AKAMAI TECHNOLOGIES INC      COM            00971T101      2,651,508     152,036       X        28-5284    135406              16630
                                                             156,437       8,970       X      X 28-5284      8970
                                                             335,685      19,248       X        28-11135    19248
ALABAMA AIRCRAFT IND INC     COM            01023E100          2,756       1,399       X      X 28-5284               1399
ALASKA AIR GROUP INC         COM            011659109          2,243         110       X        28-5284       100                 10
ALASKA COMMUNICATIONS SYS GR COM            01167P101          6,115         500       X      X 28-5284       500
ALBEMARLE CORP               COM            012653101         97,639       3,166       X        28-5284      3166
                                                              80,277       2,603       X      X 28-5284      1003               1600
ALBERTO CULVER CO NEW        COM            013078100          1,226          45       X        28-5284        45
                                                               6,129         225       X      X 28-5284       225
ALCOA INC                    COM            013817101      8,280,899     366,736       X        28-5284    342956              23780
                                                           7,823,518     346,480       X      X 28-5284    326921      295     19264
                                                             217,468       9,631       X        28-11135     9631
                                                              92,917       4,115       X        28-4580      3915                200
                                                             184,456       8,169       X      X 28-4580      8169
ALCATEL-LUCENT               SPONSORED ADR  013904305         52,266      13,611       X        28-5284     12815                796
                                                             129,642      33,761       X      X 28-5284     33469                292
                                                              36,207       9,429       X        28-11135     9429
                                                              14,976       3,900       X        28-11439     3900
                                                                 242          63       X        28-4580        63
                                                               1,198         312       X      X 28-4580       312
ALDILA INC                   COM NEW        014384200          2,506         625       X        28-5284       625
                                                             299,984      74,809       X      X 28-5284              74809
ALEXANDER & BALDWIN INC      COM            014482103        101,269       2,300       X        28-5284      2300
                                                             438,979       9,970       X      X 28-5284      8200               1770
ALESCO FINL INC              COM            014485106          4,500       5,000       X      X 28-5284      5000
ALEXANDRIA REAL ESTATE EQ IN COM            015271109        916,875       8,150       X        28-5284      8150
                                                              55,125         490       X      X 28-5284       490
ALFACELL CORP                COM            015404106          5,628       8,400       X        28-5284      8400
   COLUMN TOTAL                                           22,004,874








                                                                                                                    FILE NO. 28-1235
PAGE  14 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
ALICO INC                    COM            016230104         18,355         387       X        28-5284       387
                                                              67,825       1,430       X      X 28-5284               1430
ALIGN TECHNOLOGY INC         COM            016255101        103,459       9,553       X        28-5284      9553
                                                             605,343      55,895       X      X 28-5284     24895              31000
ALKERMES INC                 COM            01642T108            785          59       X        28-11135       59
ALLEGHANY CORP DEL           COM            017175100     42,330,145     115,973       X      X 28-5284     78485              37488
ALLEGHENY ENERGY INC         COM            017361106        254,154       6,912       X        28-5284      6912
                                                           2,690,351      73,167       X      X 28-5284      2792              70375
                                                               3,677         100       X      X 28-4580       100
ALLEGHENY TECHNOLOGIES INC   COM            01741R102        537,928      18,204       X        28-5284     17762                442
                                                           1,349,076      45,654       X      X 28-5284     44979                675
                                                             589,286      19,942       X        28-11439    19942
                                                               5,024         170       X        28-4580       170
                                                               2,955         100       X      X 28-4580       100
ALLERGAN INC                 COM            018490102     15,986,579     310,419       X        28-5284    303819               6600
                                                          16,667,409     323,639       X      X 28-5284    321154      600      1885
                                                             339,746       6,597       X        28-11135     6597
                                                             544,098      10,565       X        28-4580     10365                200
                                                             403,554       7,836       X      X 28-4580      7836
ALLETE INC                   COM NEW        018522300         13,350         300       X        28-5284                          300
                                                             233,581       5,249       X      X 28-5284      1499               3750
                                                              47,126       1,059       X        28-11135     1059
ALLIANCE DATA SYSTEMS CORP   COM            018581108        190,837       3,011       X        28-5284      2891                120
                                                             124,859       1,970       X      X 28-5284      1970
                                                             145,964       2,303       X        28-11135     2303
ALLIANCE HOLDINGS GP LP      COM UNITS LP   01861G100          3,005         150       X        28-5284       150
                                                             895,541      44,710       X      X 28-5284     44710
ALLIANCE FIBER OPTIC PRODS I COM            018680108      1,321,888   1,348,865       X      X 28-5284            1348865
ALLIANCE RES PARTNER L P     UT LTD PART    01877R108         97,334       3,088       X        28-5284      3088
                                                              39,400       1,250       X      X 28-5284      1250
   COLUMN TOTAL                                           85,612,634







                                                                                                                    FILE NO. 28-1235
PAGE  15 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
ALLIANCEBERNSTEIN GBL HGH IN COM            01879R106        127,461      12,708       X        28-5284     12708
                                                             138,645      13,823       X      X 28-5284     11384     2439
ALLIANT ENERGY CORP          COM            018802108         34,948       1,085       X        28-5284      1085
                                                             330,185      10,251       X      X 28-5284      4951               5300
ALLIANT TECHSYSTEMS INC      COM            018804104        149,177       1,588       X        28-5284      1588
                                                             375,854       4,001       X      X 28-5284         1               4000
ALLIANZ SE                   SP ADR 1/10 SH 018805101         54,936       4,007       X        28-5284      4007
                                                              22,649       1,652       X      X 28-5284      1652
                                                             403,362      29,421       X        28-11135    29421
ALLIANCEBERNSTEIN INCOME FUN COM            01881E101        225,004      29,881       X        28-5284     29881
                                                             565,450      75,093       X      X 28-5284     25927              49166
ALLIANCEBERNSTEIN HOLDING LP UNIT LTD PARTN 01881G106        164,435       4,443       X        28-5284      3443               1000
                                                           1,182,951      31,963       X      X 28-5284     31763                200
ALLIED CAP CORP NEW          COM            01903Q108         78,300       7,250       X        28-5284      3830               3420
                                                             189,356      17,533       X      X 28-5284     17533
                                                              19,418       1,798       X        28-4580      1798
ALLIED IRISH BKS P L C       SPON ADR ORD   019228402        915,149      55,666       X        28-5284     50622               5044
                                                           1,374,318      83,596       X      X 28-5284     83596
                                                               1,891         115       X        28-11135      115
                                                              12,100         736       X        28-4580       736
ALLIED WASTE INDS INC        COM PAR$.01NEW 019589308        153,585      13,824       X        28-5284      3724              10100
                                                               8,144         733       X      X 28-5284       733
ALLSCRIPTS HEALTHCARE SOLUTI COM            01988P108          3,732         300       X        28-5284       300
                                                              52,870       4,250       X      X 28-5284      4250
ALLSTATE CORP                COM            020002101     16,302,359     353,477       X        28-5284    320939              32538
                                                          17,777,692     385,466       X      X 28-5284    370378      125     14963
                                                           1,057,947      22,939       X        28-11135    22939
                                                             302,132       6,551       X        28-4580      6551
                                                              73,054       1,584       X      X 28-4580      1584
ALMOST FAMILY INC            COM            020409108        162,155       4,100       X        28-5284      4100
                                                           4,185,853     105,837       X        28-4580    105837
   COLUMN TOTAL                                           46,445,112







                                                                                                                    FILE NO. 28-1235
PAGE  16 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
ALPHA NATURAL RESOURCES INC  COM            02076X102        148,273       2,883       X        28-5284      2883
                                                              41,144         800       X      X 28-5284       200                600
ALPHARMA INC                 CL A           020813101         12,543         340       X        28-5284                          340
                                                              18,445         500       X        28-4580       500
ALPINE GLOBAL PREMIER PPTYS  COM SBI        02083A103         13,856       2,135       X      X 28-5284      2135
ALPINE TOTAL DYNAMIC DIVID F COM SBI        021060108         45,800       5,000       X      X 28-5284                         5000
ALSIUS CORPORATION           COM            021211107            358         421       X      X 28-5284                421
ALTAIR NANOTECHNOLOGIES INC  COM            021373105          2,400       1,000       X        28-5284      1000
                                                              43,200      18,000       X      X 28-5284                        18000
ALTERA CORP                  COM            021441100      1,243,612      60,136       X        28-5284     12836              47300
                                                             643,148      31,100       X      X 28-5284                        31100
ALTRIA GROUP INC             COM            02209S103     26,807,927   1,351,206       X        28-5284   1218518      259    132429
                                                          81,469,746   4,106,338       X      X 28-5284   1611593     2795   2491950
                                                             488,540      24,624       X        28-11135    24624
                                                           1,121,595      56,532       X        28-4580     56532
                                                             926,290      46,688       X      X 28-4580     46688
ALTUS PHARMACEUTICALS INC    COM            02216N105          3,850       3,500       X        28-5284      3500
ALUMINA LTD                  SPONSORED ADR  022205108          3,283         325       X        28-5284       325
ALUMINUM CORP CHINA LTD      SPON ADR H SHS 022276109            485          32       X        28-5284        32
AMAZON COM INC               COM            023135106      2,855,539      39,246       X        28-5284     34584               4662
                                                             553,122       7,602       X      X 28-5284      7302                300
                                                                 655           9       X        28-11135        9
                                                              21,828         300       X        28-4580       300
AMBAC FINL GROUP INC         COM            023139108          1,724         740       X        28-5284       740
                                                                  19           8       X      X 28-5284         8
AMCOL INTL CORP              COM            02341W103         20,319         650       X        28-5284       650
AMEDISYS INC                 COM            023436108         11,389         234       X      X 28-5284       234
                                                               2,434          50       X        28-11135       50
   COLUMN TOTAL                                          116,501,524







                                                                                                                    FILE NO. 28-1235
PAGE  17 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
AMEREN CORP                  COM            023608102        441,781      11,319       X        28-5284      6779               4540
                                                             444,239      11,382       X      X 28-5284     11382
                                                             102,063       2,615       X      X 28-4580      2615
AMERICA MOVIL SAB DE CV      SPON ADR L SHS 02364W105      7,266,420     156,739       X        28-5284    150472               6267
                                                           3,382,518      72,962       X      X 28-5284     66258      100      6604
                                                              25,127         542       X        28-11135      542
                                                              40,101         865       X        28-4580       865
                                                              53,314       1,150       X      X 28-4580      1150
AMERICA MOVIL SAB DE CV      SPON ADR A SHS 02364W204        148,834       3,225       X        28-5284      3225
AMERICAN AXLE & MFG HLDGS IN COM            024061103            284          53       X        28-11135       53
AMERICAN BANCORP N J INC     COM            02407E104        309,000      30,000       X      X 28-5284     30000
AMER BIO MEDICA CORP         COM            024600108          2,550       5,000       X      X 28-5284      5000
AMERICAN CAMPUS CMNTYS INC   COM            024835100        368,547      10,878       X        28-5284     10878
                                                              52,209       1,541       X      X 28-5284      1541
AMERICAN CAP LTD             COM            02503Y103      1,831,567      71,798       X        28-5284     69138               2660
                                                             203,621       7,982       X      X 28-5284      6982               1000
                                                                 561          22       X        28-11135       22
AMERICAN EAGLE OUTFITTERS NE COM            02553E106        118,371       7,762       X        28-5284      7762
                                                               2,288         150       X      X 28-5284       150
                                                               4,118         270       X        28-11135      270
AMERICAN ECOLOGY CORP        COM NEW        025533407          3,320         120       X        28-5284       120
                                                           1,304,087      47,130       X      X 28-5284     47130
AMERICAN ELEC PWR INC        COM            025537101      1,605,510      43,357       X        28-5284     36170               7187
                                                           2,860,160      77,239       X      X 28-5284     33201              44038
                                                              37,585       1,015       X        28-11135     1015
                                                              62,470       1,687       X        28-4580      1687
                                                              65,802       1,777       X      X 28-4580      1235                542
AMERICAN EXPRESS CO          COM            025816109     21,549,341     608,223       X        28-5284    575645              32578
                                                          19,602,781     553,282       X      X 28-5284    481320      975     70987
                                                              66,679       1,882       X        28-11135     1882
                                                             164,679       4,648       X        28-4580      4648
                                                             251,553       7,100       X      X 28-4580      7100
   COLUMN TOTAL                                           62,371,480







                                                                                                                    FILE NO. 28-1235
PAGE  18 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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 FINL GROUP INC OHIO COM            025932104        161,365       5,470       X        28-5284       238               5232
AMERICAN GREETINGS CORP      CL A           026375105         13,883         908       X        28-5284       908
                                                               3,058         200       X      X 28-5284       200
AMERICAN INCOME FD INC       COM            02672T109        261,625      43,750       X      X 28-5284                        43750
AMERICAN INDEPENDENCE CORP   COM NEW        026760405        245,784      36,198       X      X 28-5284              36198
AMERICAN INTL GROUP INC      COM            026874107      3,011,369     904,315       X        28-5284    788413             115902
                                                           1,312,683     394,199       X      X 28-5284    347666     2380     44153
                                                              84,928      25,504       X        28-11135    25504
                                                              52,005      15,617       X        28-4580     15317                300
                                                              13,007       3,906       X      X 28-4580      3906
AMERICAN LD LEASE INC        COM            027118108          1,185          61       X      X 28-5284        61
AMERICAN MED SYS HLDGS INC   COM            02744M108         87,024       4,900       X      X 28-5284      4900
AMERICAN NATL INS CO         COM            028591105         17,266         200       X      X 28-5284       200
AMERICAN OIL & GAS INC NEW   COM            028723104          6,525       2,500       X      X 28-5284      2500
AMERICAN ORIENTAL BIOENGR IN COM            028731107            649         100       X        28-5284       100
                                                                 727         112       X        28-11135      112
AMERICAN RAILCAR INDS INC    COM            02916P103         24,060       1,500       X      X 28-5284                         1500
AMERICAN RIVER BANKSHARES    COM            029326105         31,113       3,132       X        28-5284      3132
AMERICAN SCIENCE & ENGR INC  COM            029429107         41,811         700       X      X 28-5284       700
AMERICAN SELECT PORTFOLIO IN COM            029570108        317,580      31,600       X      X 28-5284                        31600
AMERICAN STS WTR CO          COM            029899101          9,625         250       X        28-5284       100                150
                                                              46,200       1,200       X      X 28-5284                         1200
                                                              19,250         500       X        28-4580       500
AMERICAN TOWER CORP          NOTE  3.000% 8 029912AR3      8,835,500       5,000       X        28-11439     5000
   COLUMN TOTAL                                           14,598,222







                                                                                                                    FILE NO. 28-1235
PAGE  19 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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 TOWER CORP          CL A           029912201     10,892,184     302,813       X        28-5284    282777              20036
                                                           2,998,495      83,361       X      X 28-5284     67712     3259     12390
                                                              66,365       1,845       X        28-11135     1845
                                                             136,686       3,800       X        28-11439     3800
                                                              51,473       1,431       X        28-4580      1431
                                                              55,754       1,550       X      X 28-4580      1550
AMERICAN STRATEGIC INCOME II COM            03009T101        447,744      52,800       X      X 28-5284                        52800
AMERICAN STRATEGIC INCM PTFL COM            030098107        120,960      12,800       X      X 28-5284                        12800
AMERN STRATEGIC INCOME PTFL  COM            030099105        577,116      61,200       X      X 28-5284                        61200
AMERICAN SUPERCONDUCTOR CORP COM            030111108        306,410      13,000       X      X 28-5284     10000               3000
AMERICREDIT CORP             NOTE 1.750%
                             11/1           03060RAP6        284,939         500       X        28-11439      500
AMERISTAR CASINOS INC        COM            03070Q101         52,503       3,700       X      X 28-5284      3700
AMERISAFE INC                COM            03071H100         69,251       3,805       X        28-11135     3805
AMERISOURCEBERGEN CORP       COM            03073E105         57,981       1,540       X        28-5284      1540
                                                             103,688       2,754       X      X 28-5284      2754
                                                             168,408       4,473       X        28-11135     4473
AMERIGROUP CORP              COM            03073T102          1,388          55       X        28-5284        55
                                                                 808          32       X        28-11135       32
AMERITYRE CORP               COM            03073V107          3,672       3,600       X        28-5284      3600
                                                              10,200      10,000       X      X 28-5284     10000
AMERIPRISE FINL INC          COM            03076C106      1,086,866      28,452       X        28-5284     17309              11143
                                                             979,715      25,647       X      X 28-5284     22557               3090
                                                                  76           2       X        28-11135        2
                                                               3,438          90       X      X 28-4580        90
AMERIGAS PARTNERS L P        UNIT L P INT   030975106         59,339       1,950       X        28-5284      1950
                                                             147,586       4,850       X      X 28-5284      4850
AMETEK INC NEW               COM            031100100        240,502       5,899       X        28-5284      5899
                                                           2,754,014      67,550       X      X 28-5284     67550
                                                              25,440         624       X        28-11135      624
   COLUMN TOTAL                                           21,703,001







                                                                                                                    FILE NO. 28-1235
PAGE  20 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
AMGEN INC                    COM            031162100     31,859,285     537,528       X        28-5284    504109              33419
                                                          15,755,803     265,831       X      X 28-5284    219875     3703     42253
                                                             567,155       9,569       X        28-11135     9569
                                                             426,625       7,198       X        28-4580      6998                200
                                                           1,011,443      17,065       X      X 28-4580     17065
AMKOR TECHNOLOGY INC         COM            031652100        277,095      43,500       X      X 28-5284     43500
AMPAL AMERN ISRAEL CORP      CL A           032015109             68          22       X        28-5284                           22
AMPCO-PITTSBURGH CORP        COM            032037103         25,900       1,000       X      X 28-5284                         1000
AMPHENOL CORP NEW            CL A           032095101     24,874,638     619,697       X        28-5284    578821              40876
                                                          12,468,889     310,635       X      X 28-5284    299401     4984      6250
                                                             230,765       5,749       X        28-11135     5749
                                                             306,108       7,626       X        28-4580      7500                126
                                                             116,326       2,898       X      X 28-4580      2898
AMREP CORP NEW               COM            032159105         38,127         899       X        28-5284       899
AMSURG CORP                  COM            03232P405         24,833         975       X        28-5284       975
AMYLIN PHARMACEUTICALS INC   COM            032346108          6,470         320       X        28-5284                          320
                                                             115,052       5,690       X      X 28-5284      5690
ANADARKO PETE CORP           COM            032511107      4,179,525      86,158       X        28-5284     81796     1008      3354
                                                           5,623,134     115,917       X      X 28-5284    112411     1000      2506
                                                              41,428         854       X        28-11135      854
                                                              58,697       1,210       X        28-4580      1210
                                                               2,911          60       X      X 28-4580        60
ANALOG DEVICES INC           COM            032654105        365,027      13,853       X        28-5284     13013                840
                                                             551,743      20,939       X      X 28-5284      9128              11811
ANALOGIC CORP                COM PAR $0.05  032657207         18,760         377       X        28-5284                          377
ANCHOR BANCORP WIS INC       COM            032839102          1,029         140       X        28-5284                          140
                                                              29,400       4,000       X      X 28-5284      4000
ANESIVA INC COM              COM            03460L100         91,088      62,389       X      X 28-5284              62389
   COLUMN TOTAL                                           99,067,324







                                                                                                                    FILE NO. 28-1235
PAGE  21 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
ANGLO AMERN PLC              ADR NEW        03485P201        179,346      10,720       X        28-5284      7786               2934
                                                             919,096      54,937       X      X 28-5284     54437                500
                                                             266,291      15,917       X        28-11135    15917
ANGLOGOLD ASHANTI LTD        SPONSORED ADR  035128206         28,806       1,247       X      X 28-5284       622                625
ANHEUSER BUSCH COS INC       COM            035229103     16,741,116     258,032       X        28-5284    250432               7600
                                                          21,540,420     332,004       X      X 28-5284    317616      325     14063
                                                             211,833       3,265       X        28-11135     3265
                                                           1,110,746      17,120       X        28-4580     17120
                                                             220,592       3,400       X      X 28-4580      3400
ANIKA THERAPEUTICS INC       COM            035255108        109,744      15,200       X        28-5284     15200
                                                              23,826       3,300       X      X 28-5284      3300
ANIXTER INTL INC             COM            035290105         21,900         368       X        28-5284       128                240
                                                              59,510       1,000       X      X 28-5284      1000
ANNALY CAP MGMT INC          COM            035710409        451,274      33,552       X        28-5284     33552
                                                             450,185      33,471       X      X 28-5284     33471
ANSYS INC                    COM            03662Q105        187,570       4,953       X        28-5284      4953
                                                           1,999,536      52,800       X      X 28-5284     41225              11575
                                                             240,891       6,361       X        28-11135     6361
ANTHRACITE CAP INC           COM            037023108          6,030       1,125       X        28-5284      1125
                                                             286,224      53,400       X      X 28-5284     53400
ANTIGENICS INC DEL           COM            037032109          1,580       1,000       X        28-5284      1000
AON CORP                     COM            037389103        723,991      16,103       X        28-5284     14523               1580
                                                           1,903,696      42,342       X      X 28-5284     42342
                                                              51,749       1,151       X        28-11135     1151
APACHE CORP                  COM            037411105      9,469,458      90,808       X        28-5284     57042              33766
                                                          11,456,201     109,860       X      X 28-5284     84262              25598
                                                           1,360,645      13,048       X        28-11135    13048
                                                              34,934         335       X        28-4580       335
APARTMENT INVT & MGMT CO     CL A           03748R101         11,522         329       X        28-5284       329
                                                                 350          10       X      X 28-5284        10
APCO ARGENTINA INC CAYMAN IS ORD            037489101         14,155         500       X        28-5284       500
   COLUMN TOTAL                                           70,083,217







                                                                                                                    FILE NO. 28-1235
PAGE  22 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
APOGEE ENTERPRISES INC       COM            037598109         15,631       1,040       X        28-5284       800                240
                                                              15,030       1,000       X      X 28-5284      1000
                                                              38,251       2,545       X        28-11135     2545
APOLLO GROUP INC             CL A           037604105        608,003      10,253       X        28-5284      7108               3145
                                                           1,546,841      26,085       X      X 28-5284     23780               2305
APOLLO INVT CORP             COM            03761U106         99,026       5,808       X        28-5284      5808
                                                             172,205      10,100       X      X 28-5284     10100
                                                               1,773         104       X        28-11135      104
                                                              33,469       1,963       X      X 28-4580      1963
APPLE INC                    COM            037833100     54,834,471     482,443       X        28-5284    460614              21829
                                                          24,966,215     219,657       X      X 28-5284    210356     1228      8073
                                                           1,536,342      13,517       X        28-11135    13517
                                                           1,330,163      11,703       X        28-4580     11520                183
                                                             542,158       4,770       X      X 28-4580      4620      150
APPLIED BIOSYSTEMS INC DEL   COM            038149100        106,175       3,100       X        28-5284      3100
                                                             416,617      12,164       X      X 28-5284     11500                664
APPLIED INDL TECHNOLOGIES IN COM            03820C105          8,402         312       X        28-5284                          312
                                                             145,826       5,415       X      X 28-5284      5415
APPLIED MICRO CIRCUITS CORP  COM NEW        03822W406          2,183         365       X        28-5284       365
APPLIED MATLS INC            COM            038222105      5,853,313     386,868       X        28-5284    353448              33420
                                                           2,679,251     177,082       X      X 28-5284    168817     2000      6265
                                                              25,146       1,662       X        28-11135     1662
APTARGROUP INC               COM            038336103         78,220       2,000       X      X 28-5284      2000
AQUA AMERICA INC             COM            03836W103      1,597,017      89,821       X        28-5284     87345               2476
                                                           2,309,089     129,870       X      X 28-5284    123460               6410
                                                               5,921         333       X        28-4580       333
ARACRUZ CELULOSE S A         SPON ADR PFD B 038496204          9,178         250       X      X 28-5284       250
ARBINET THEXCHANGE INC       COM            03875P100      1,116,870     409,110       X      X 28-5284             409110
ARBITRON INC                 COM            03875Q108          9,832         220       X        28-5284                          220
ARC WIRELESS SOLUTIONS INC   COM NEW        03878K207         74,045      17,714       X      X 28-5284              17714
   COLUMN TOTAL                                          100,176,663







                                                                                                                    FILE NO. 28-1235
PAGE  23 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
ARCH CHEMICALS INC           COM            03937R102          7,413         210       X        28-5284                          210
                                                             259,173       7,342       X      X 28-5284      7342
ARCELORMITTAL SA LUXEMBOURG  NY REGISTRY SH 03938L104        158,164       3,203       X        28-5284       503               2700
                                                              44,985         911       X      X 28-5284       911
ARCH COAL INC                COM            039380100        457,303      13,904       X        28-5284     13562                342
                                                             141,328       4,297       X      X 28-5284       597               3700
                                                               1,710          52       X        28-11135       52
ARCHER DANIELS MIDLAND CO    COM            039483102      4,142,962     189,090       X        28-5284    167000              22090
                                                           2,106,405      96,139       X      X 28-5284     82639     4500      9000
                                                             110,207       5,030       X        28-4580      4130                900
                                                              16,148         737       X      X 28-4580       737
ARCTIC CAT INC               COM            039670104            732          80       X        28-5284                           80
ARENA RESOURCES INC          COM            040049108        228,127       5,872       X        28-11135     5872
ARES CAP CORP                COM            04010L103          9,293         891       X        28-5284       891
ARIAD PHARMACEUTICALS INC    COM            04033A100         43,544      17,629       X      X 28-5284     17629
ARIBA INC                    COM NEW        04033V203          2,346         166       X        28-5284       166
ARKANSAS BEST CORP DEL       COM            040790107          8,423         250       X        28-5284        40                210
                                                               3,369         100       X      X 28-5284       100
ARM HLDGS PLC                SPONSORED ADR  042068106         25,256       4,857       X        28-5284      4857
ARQULE INC                   COM            04269E107            708         220       X        28-5284                          220
ARRIS GROUP INC              COM            04269Q100          1,786         231       X      X 28-5284       231
ARRAY BIOPHARMA INC          COM            04269X105         23,040       3,000       X      X 28-5284      3000
ARROW ELECTRS INC            COM            042735100         88,781       3,386       X        28-5284       286               3100
                                                              53,096       2,025       X      X 28-5284       225               1800
ARROWHEAD RESH CORP          COM            042797100          1,040       1,000       X        28-5284      1000
ART TECHNOLOGY GROUP INC     COM            04289L107          4,576       1,300       X        28-5284      1300
   COLUMN TOTAL                                            7,939,915







                                                                                                                    FILE NO. 28-1235
PAGE  24 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
ARTESIAN RESOURCES CORP      CL A           043113208         45,001       2,685       X        28-5284      2685
                                                              64,107       3,825       X      X 28-5284      3825
ARTHROCARE CORP              COM            043136100         25,780         930       X        28-5284       700                230
ARVINMERITOR INC             COM            043353101         32,457       2,489       X        28-5284      2489
                                                              13,340       1,023       X      X 28-5284      1023
ASHFORD HOSPITALITY TR INC   COM SHS        044103109          1,134         280       X        28-5284       280
                                                             138,510      34,200       X      X 28-5284     34200
ASHLAND INC NEW              COM            044209104         53,714       1,837       X        28-5284      1837
                                                              44,591       1,525       X      X 28-5284      1525
ASIA TIGERS FD INC           COM            04516T105          4,818         300       X        28-5284       300
ASPENBIO PHARMA INC          COM            045346103          6,240       1,000       X        28-5284      1000
                                                               9,360       1,500       X      X 28-5284      1500
ASSOCIATED BANC CORP         COM            045487105        279,859      14,028       X        28-5284     13728                300
                                                             559,957      28,068       X      X 28-5284     11358     4500     12210
                                                             536,655      26,900       X        28-1500     26900
ASSURANT INC                 COM            04621X108        515,185       9,367       X        28-5284      2899               6468
                                                              74,250       1,350       X      X 28-5284      1242                108
                                                               4,400          80       X        28-11135       80
ASTEC INDS INC               COM            046224101          4,933         160       X        28-5284                          160
ASTORIA FINL CORP            COM            046265104            166           8       X      X 28-5284         8
                                                               7,401         357       X        28-11135      357
ASTRAZENECA PLC              SPONSORED ADR  046353108         62,046       1,414       X        28-5284      1414
                                                             417,255       9,509       X      X 28-5284      8909                600
                                                              83,372       1,900       X        28-11135     1900
                                                              43,880       1,000       X      X 28-4580      1000
ASYST TECHNOLOGY CORP        COM            04648X107        306,540     127,725       X      X 28-5284             127725
ATHEROS COMMUNICATIONS INC   COM            04743P108         23,580       1,000       X      X 28-5284      1000
ATHEROGENICS INC             COM            047439104         37,033     105,808       X        28-5284    105808
   COLUMN TOTAL                                            3,395,564







                                                                                                                    FILE NO. 28-1235
PAGE  25 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
ATLANTIC TELE NETWORK INC    COM NEW        049079205            196           7       X        28-11135        7
ATLAS AMER INC               COM            049167109        262,988       7,710       X        28-5284      7710
                                                             149,265       4,376       X      X 28-5284      4376
ATLAS PIPELINE PARTNERS LP   UNIT L P INT   049392103         46,239       1,814       X        28-5284      1814
ATMEL CORP                   COM            049513104        322,050      95,000       X      X 28-5284     95000
ATMOS ENERGY CORP            COM            049560105        175,293       6,585       X        28-5284      5195               1390
                                                             112,816       4,238       X      X 28-5284      3120               1118
ATWOOD OCEANICS INC          COM            050095108         95,150       2,614       X        28-5284      2154                460
                                                             691,236      18,990       X      X 28-5284     18990
                                                             227,100       6,239       X        28-11135     6239
AUDIOVOX CORP                CL A           050757103          1,218         130       X        28-5284                          130
AUTODESK INC                 COM            052769106        795,403      23,708       X        28-5284     21118               2590
                                                           1,052,799      31,380       X      X 28-5284     19295              12085
                                                              75,387       2,247       X        28-11135     2247
AUTOLIV INC                  COM            052800109        216,743       6,422       X        28-5284      4522               1900
                                                             125,044       3,705       X      X 28-5284      3705
AUTOMATIC DATA PROCESSING IN COM            053015103     32,355,637     756,857       X        28-5284    730112              26745
                                                          25,082,836     586,733       X      X 28-5284    542921     5187     38625
                                                              22,230         520       X        28-11135      520
                                                             439,128      10,272       X        28-4580     10272
                                                             224,438       5,250       X      X 28-4580      5250
AUTOZONE INC                 COM            053332102         45,266         367       X        28-5284       367
                                                              49,336         400       X      X 28-5284       400
                                                             201,291       1,632       X        28-11135     1632
AVANEX CORP                  COM NEW        05348W307            496         106       X      X 28-5284                106
AVALONBAY CMNTYS INC         COM            053484101         31,396         319       X        28-5284        39                280
                                                               9,842         100       X      X 28-5284       100
AVATAR HLDGS INC             COM            053494100      1,770,945      53,665       X        28-5284     53665
                                                             907,500      27,500       X      X 28-5284     27500
                                                              66,000       2,000       X        28-4580                         2000
   COLUMN TOTAL                                           65,555,268







                                                                                                                    FILE NO. 28-1235
PAGE  26 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
AVERY DENNISON CORP          COM            053611109      3,909,392      87,891       X        28-5284     78804               9087
                                                           1,996,574      44,887       X      X 28-5284     43887               1000
                                                              10,052         226       X        28-11135      226
                                                              22,240         500       X      X 28-4580       500
AVID TECHNOLOGY INC          COM            05367P100          6,400         266       X        28-5284                          266
                                                              16,842         700       X        28-4580       700
AVIS BUDGET GROUP            COM            053774105         35,014       6,100       X        28-5284       800               5300
                                                                 918         160       X      X 28-5284       160
AVISTA CORP                  COM            05379B107          8,684         400       X        28-5284                          400
AVNET INC                    COM            053807103        329,771      13,389       X        28-5284      2232              11157
                                                               4,015         163       X      X 28-5284       163
AVOCENT CORP                 COM            053893103          1,473          72       X        28-5284        72
AVON PRODS INC               COM            054303102        869,520      20,917       X        28-5284     20417                500
                                                             883,737      21,259       X      X 28-5284      5088              16171
                                                              17,709         426       X        28-11135      426
AXA                          SPONSORED ADR  054536107         76,784       2,351       X        28-5284      2351
                                                              37,788       1,157       X      X 28-5284       946                211
                                                             453,582      13,888       X        28-11135    13888
AXCELIS TECHNOLOGIES INC     COM            054540109          4,162       2,448       X        28-5284      1768                680
                                                              10,615       6,244       X      X 28-5284      6244
AXSYS TECHNOLOGIES INC       COM            054615109         73,675       1,250       X        28-5284      1250
BB&T CORP                    COM            054937107      6,909,235     182,784       X        28-5284    160075              22709
                                                           1,092,722      28,908       X      X 28-5284     15538     8900      4470
                                                              26,422         699       X        28-11135      699
                                                             371,612       9,831       X        28-4580      9831
B & G FOODS INC NEW          UNIT 99/99/999 05508R205         13,400       1,000       X      X 28-5284      1000
                                                              60,300       4,500       X        28-4580                         4500
BCE INC                      COM NEW        05534B760         75,494       2,175       X        28-5284       575               1600
                                                              26,345         759       X      X 28-5284       759
                                                               2,083          60       X        28-11135       60
   COLUMN TOTAL                                           17,346,560







                                                                                                                    FILE NO. 28-1235
PAGE  27 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
BFC FINL CORP                CL A           055384200         20,347      36,994       X        28-5284     36994
BHP BILLITON PLC             SPONSORED ADR  05545E209         48,665       1,060       X        28-5284      1060
                                                                 275           6       X      X 28-5284         6
BJS WHOLESALE CLUB INC       COM            05548J106         70,531       1,815       X        28-5284                         1815
BJ SVCS CO                   COM            055482103        756,783      39,560       X        28-5284     36905               2655
                                                              73,497       3,842       X      X 28-5284      3842
BP PLC                       SPONSORED ADR  055622104     94,419,488   1,881,991       X        28-5284   1802633              79358
                                                         102,250,724   2,038,085       X      X 28-5284   1779599    11914    246572
                                                             359,217       7,160       X        28-11135     7160
                                                           1,569,769      31,289       X        28-4580     30961                328
                                                           6,034,046     120,272       X      X 28-4580     71318     1000     47954
BP PRUDHOE BAY RTY TR        UNIT BEN INT   055630107        297,039       3,195       X        28-5284      2995                200
                                                              86,834         934       X      X 28-5284       934
BRE PROPERTIES INC           CL A           05564E106         66,052       1,348       X        28-5284      1348
                                                             289,100       5,900       X      X 28-5284      5900
BRT RLTY TR                  SH BEN INT NEW 055645303          7,731         900       X        28-5284       900
BT GROUP PLC                 ADR            05577E101          9,457         326       X        28-5284       326
                                                               3,568         123       X      X 28-5284       123
                                                             273,854       9,440       X        28-11135     9440
BMC SOFTWARE INC             COM            055921100         51,591       1,802       X        28-5284      1802
                                                                 716          25       X      X 28-5284        25
                                                             306,828      10,717       X        28-11135    10717
BADGER METER INC             COM            056525108         18,780         400       X        28-5284       400
BAIDU COM INC                SPON ADR REP A 056752108          4,220          17       X        28-5284        17
BAKER HUGHES INC             COM            057224107      5,008,656      82,733       X        28-5284     68586              14147
                                                           3,418,088      56,460       X      X 28-5284     50295      325      5840
                                                             386,487       6,384       X        28-11135     6384
                                                             120,232       1,986       X        28-4580      1686                300
                                                              91,900       1,518       X      X 28-4580      1518
   COLUMN TOTAL                                          216,044,475







                                                                                                                    FILE NO. 28-1235
PAGE  28 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
BALDOR ELEC CO               COM            057741100         15,557         540       X        28-5284       150                390
                                                              14,405         500       X      X 28-5284                          500
BALL CORP                    COM            058498106      1,703,046      43,126       X        28-5284     40326               2800
                                                           1,761,451      44,605       X      X 28-5284     42010               2595
                                                               3,831          97       X        28-11135       97
                                                               7,898         200       X        28-4580       200
                                                              91,617       2,320       X      X 28-4580      2320
BALLARD PWR SYS INC          COM            05858H104          3,916       1,100       X      X 28-5284      1100
BALLY TECHNOLOGIES INC       COM            05874B107          6,056         200       X        28-5284       200
                                                             781,224      25,800       X      X 28-5284     25800
                                                              10,053         332       X        28-11135      332
BANCFIRST CORP               COM            05945F103        212,845       4,404       X        28-11135     4404
BANCO BILBAO VIZCAYA ARGENTA SPONSORED ADR  05946K101         63,774       3,944       X        28-5284      3944
                                                              20,083       1,242       X        28-11135     1242
BANCO BRADESCO S A           SP ADR PFD NEW 059460303            531          33       X        28-11135       33
BANCO SANTANDER SA           ADR            05964H105        309,833      20,628       X        28-5284     20628
                                                               1,893         126       X      X 28-5284       126
                                                             419,464      27,927       X        28-11135    27927
BANCORP INC DEL              COM            05969A105        279,495      55,899       X        28-1500     55899
BANCORPSOUTH INC             COM            059692103        101,268       3,600       X        28-5284      3600
BANCROFT FUND LTD            COM            059695106      1,214,083      91,976       X        28-5284     91976
BANK OF AMERICA CORPORATION  COM            060505104    152,934,215   4,369,549       X        28-5284   4164368      460    204721
                                                         160,926,430   4,597,898       X      X 28-5284   4420780    26015    151103
                                                             891,660      25,476       X        28-11135    25476
                                                           4,074,000     116,400       X        28-1500    116400
                                                           2,703,610      77,246       X        28-4580     75466               1780
                                                           1,352,820      38,652       X      X 28-4580     37772      378       502
BANK FLA CORP NAPLES         COM            062128103          4,125         500       X        28-5284       500
BANK HAWAII CORP             COM            062540109         32,070         600       X        28-5284       600
                                                             106,900       2,000       X      X 28-5284      2000
   COLUMN TOTAL                                          330,048,153







                                                                                                                    FILE NO. 28-1235
PAGE  29 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
BANK OF NEW YORK MELLON CORP COM            064058100     21,423,565     657,568       X        28-5284    614039              43529
                                                           9,494,724     291,428       X      X 28-5284    275487     5022     10919
                                                             702,164      21,552       X        28-11135    21552
                                                             356,002      10,927       X        28-4580      9418               1509
                                                             108,719       3,337       X      X 28-4580      3337
BANK NOVA SCOTIA HALIFAX     COM            064149107      5,207,124     113,100       X        28-5284    113100
                                                              13,812         300       X      X 28-5284       300
BANK SOUTH CAROLINA CORP     COM            065066102          3,575         275       X      X 28-5284       275
BANKUNITED FINL CORP         CL A           06652B103            810       1,066       X        28-5284      1066
BANNER CORP                  COM            06652V109         36,414       3,032       X        28-4580      3032
BAR HBR BANKSHARES           COM            066849100         54,000       2,000       X      X 28-5284      2000
BARCLAYS BK PLC              DJAIG CMDT ETN 06738C778     18,027,867     349,784       X        28-5284    348617               1167
                                                             755,525      14,659       X      X 28-5284     13814      845
                                                             536,325      10,406       X        28-4580      8406               2000
                                                           1,240,001      24,059       X      X 28-4580     23500                559
BARCLAYS BK PLC              IPSP CROIL ETN 06738C786         29,823         494       X        28-5284       494
BARCLAYS PLC                 ADR            06738E204         61,429       2,487       X        28-5284      2487
                                                               9,386         380       X      X 28-5284       380
                                                              78,497       3,178       X        28-11135     3178
BARD C R INC                 COM            067383109     36,758,425     387,461       X        28-5284    375962              11499
                                                          23,678,319     249,587       X      X 28-5284    239542     2872      7173
                                                              18,784         198       X        28-11135      198
                                                           1,113,774      11,740       X        28-4580     11590                150
                                                             296,279       3,123       X      X 28-4580      3123
BARCLAYS BK PLC              ETN IPTH NCKL  06739F119          2,490         100       X        28-5284       100
BARCLAYS BK PLC              ETN CBOE SPBUY 06739F135        241,238       5,250       X        28-5284      5250
BARCLAYS BK PLC              IPMS INDIA ETN 06739F291         57,475       1,270       X        28-5284       445                825
BARCLAYS BK PLC              ADR 2 PREF 2   06739F390         61,172       4,100       X        28-5284      4100
                                                              11,936         800       X      X 28-5284       800
   COLUMN TOTAL                                          120,379,654







                                                                                                                    FILE NO. 28-1235
PAGE  30 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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 BANK PLC            ETN IPTH AGRI  06739H206          4,815         100       X        28-5284       100
                                                             428,535       8,900       X      X 28-4580      8900
BARCLAYS BANK PLC            ADS7.75%PFD S4 06739H511          7,855         500       X        28-5284       500
                                                              12,568         800       X      X 28-5284       800
BARNES & NOBLE INC           COM            067774109         27,384       1,050       X        28-5284      1050
                                                              10,536         404       X        28-11135      404
BARNES GROUP INC             COM            067806109          7,684         380       X        28-5284                          380
                                                              66,726       3,300       X      X 28-4580      3300
BARRICK GOLD CORP            COM            067901108      1,753,674      47,732       X        28-5284     41882               5850
                                                           2,504,198      68,160       X      X 28-5284     66985      675       500
                                                              59,629       1,623       X        28-11135     1623
                                                              40,414       1,100       X        28-4580       500                600
BARR PHARMACEUTICALS INC     COM            068306109        969,183      14,842       X        28-5284     14392                450
                                                             557,466       8,537       X      X 28-5284      7537               1000
BASIC ENERGY SVCS INC NEW    COM            06985P100          1,022          48       X        28-5284        48
BASIN WTR INC                COM            07011T306          2,760       1,500       X        28-5284      1500
BASSETT FURNITURE INDS INC   COM            070203104            684          80       X        28-5284                           80
BAXTER INTL INC              COM            071813109     48,794,724     743,482       X        28-5284    703721              39761
                                                          24,413,769     371,991       X      X 28-5284    344398     3908     23685
                                                             121,612       1,853       X        28-11135     1853
                                                             681,043      10,377       X        28-4580      9527                850
                                                             574,328       8,751       X      X 28-4580      8751
BAY NATL CORP                COM            072500101         18,810       3,300       X        28-5284                         3300
                                                              69,204      12,141       X      X 28-5284     12141
                                                              81,487      14,296       X        28-1500     14296
BAYTEX ENERGY TR             TRUST UNIT     073176109         49,420       2,000       X        28-5284      2000
                                                              50,656       2,050       X      X 28-5284      2050
                                                              44,478       1,800       X        28-4580      1800
BE AEROSPACE INC             COM            073302101     10,213,500     645,199       X        28-5284    645199
                                                                 950          60       X        28-11135       60
   COLUMN TOTAL                                           91,569,114







                                                                                                                    FILE NO. 28-1235
PAGE  31 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
BEACON POWER CORP            COM            073677106          2,198       1,516       X      X 28-5284      1516
BEARINGPOINT INC             COM            074002106         24,072      46,292       X        28-5284     46292
                                                                  14          27       X      X 28-5284        27
                                                                  67         128       X        28-11135      128
BEAZER HOMES USA INC         COM            07556Q105         49,634       8,300       X        28-11439     8300
BECKMAN COULTER INC          COM            075811109        448,160       6,313       X        28-5284      5913                400
                                                             850,957      11,987       X      X 28-5284      8857               3130
                                                              12,352         174       X      X 28-4580       174
BECTON DICKINSON & CO        COM            075887109     24,363,806     303,561       X        28-5284    283373              20188
                                                          12,799,142     159,471       X      X 28-5284    136346     2458     20667
                                                             156,908       1,955       X        28-11135     1955
                                                             267,747       3,336       X        28-4580      3336
                                                              28,492         355       X      X 28-4580       355
BED BATH & BEYOND INC        COM            075896100      1,122,499      35,737       X        28-5284     30962               4775
                                                             946,980      30,149       X      X 28-5284     25004      250      4895
                                                              91,089       2,900       X      X 28-4580      2900
BEL FUSE INC                 CL B           077347300          3,132         110       X        28-5284                          110
BELDEN INC                   COM            077454106          2,289          72       X        28-5284        72
                                                             182,379       5,737       X        28-11135     5737
BELO CORP                    COM SER A      080555105          4,768         800       X        28-5284       800
BEMIS INC                    COM            081437105        757,181      28,889       X        28-5284     28889
                                                             891,769      34,024       X      X 28-5284      5984              28040
                                                               4,429         169       X        28-11135      169
BENCHMARK ELECTRS INC        COM            08160H101          7,744         550       X        28-5284                          550
                                                             176,070      12,505       X        28-11135    12505
BENEFICIAL MUTUAL BANCORP IN COM            08173R104      2,347,726     185,591       X        28-5284    185591
                                                              97,569       7,713       X      X 28-5284      7713
BERKLEY W R CORP             COM            084423102         33,276       1,413       X        28-5284      1413
                                                           1,569,301      66,637       X        28-4580     66637
   COLUMN TOTAL                                           47,241,750







                                                                                                                    FILE NO. 28-1235
PAGE  32 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
BERKSHIRE HATHAWAY INC DEL   CL A           084670108              0          66       X        28-5284        61                  5
                                                                   0       2,703       X      X 28-5284      1938      288       477
                                                                   0          10       X      X 28-4580        10
BERKSHIRE HATHAWAY INC DEL   CL B           084670207     35,871,990       8,162       X        28-5284      7172                990
                                                          38,179,365       8,687       X      X 28-5284      7209       62      1416
                                                               4,395           1       X        28-11135        1
                                                             747,150         170       X        28-4580       170
                                                             215,355          49       X      X 28-4580        49
BERRY PETE CO                CL A           085789105          2,130          55       X        28-5284        55
                                                              44,540       1,150       X      X 28-5284                         1150
BEST BUY INC                 COM            086516101      6,822,600     181,936       X        28-5284    165114              16822
                                                           2,314,613      61,723       X      X 28-5284     58328      150      3245
                                                             561,825      14,982       X        28-11135    14982
                                                              81,000       2,160       X        28-4580      2160
                                                              23,063         615       X      X 28-4580       615
BEVERLY NATL CORP            COM            088115100        391,538      21,859       X      X 28-5284     21859
BHP BILLITON LTD             SPONSORED ADR  088606108        464,843       8,941       X        28-5284      8441                500
                                                             966,494      18,590       X      X 28-5284     15990               2600
                                                              48,611         935       X        28-11135      935
                                                             140,373       2,700       X        28-4580      2700
BIDZ COM INC                 COM            08883T200         34,640       4,000       X        28-5284                         4000
BIG 5 SPORTING GOODS CORP    COM            08915P101         20,640       2,000       X      X 28-5284               2000
BIO-REFERENCE LABS INC       COM $.01 NEW   09057G602        757,758      26,220       X      X 28-5284     26220
BIO RAD LABS INC             CL A           090572207        297,360       3,000       X      X 28-5284      3000
BIOMARIN PHARMACEUTICAL INC  COM            09061G101          8,212         310       X        28-5284        70                240
BIOGEN IDEC INC              COM            09062X103        252,053       5,012       X        28-5284      4812                200
                                                             140,158       2,787       X      X 28-5284      2787
                                                               3,671          73       X        28-11135       73
BIOMED REALTY TRUST INC      COM            09063H107          5,290         200       X        28-5284       200
                                                              52,900       2,000       X      X 28-5284      2000
   COLUMN TOTAL                                           88,452,567







                                                                                                                    FILE NO. 28-1235
PAGE  33 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
BIOTECH HOLDRS TR            DEPOSTRY RCPTS 09067D201         36,570         200       X        28-5284       200
                                                             347,415       1,900       X      X 28-5284       900               1000
BIOVAIL CORP                 COM            09067J109        147,527      15,100       X      X 28-5284     15100
BLACK & DECKER CORP          COM            091797100      1,482,725      24,407       X        28-5284     19172               5235
                                                           1,135,721      18,695       X      X 28-5284     16403               2292
                                                               6,075         100       X        28-4580       100
                                                              15,188         250       X      X 28-4580       250
BLACK BOX CORP DEL           COM            091826107          5,525         160       X        28-5284                          160
                                                              20,718         600       X      X 28-5284                          600
                                                                 518          15       X        28-11135       15
BLACKROCK GLOBAL FLG INC TR  COM            091941104         73,841       6,600       X      X 28-5284      4100     2500
BLACK HILLS CORP             COM            092113109         71,461       2,300       X      X 28-5284      2300
BLACKBAUD INC                COM            09227Q100          2,214         120       X        28-5284                          120
BLACKROCK FLA INVT QUALITY M COM            09247B109        166,972      18,389       X      X 28-5284     18389
BLACKROCK INVT QUALITY MUN T COM            09247D105        108,992      10,592       X        28-5284     10592
BLACKROCK NY INVT QUALITY MU COM            09247E103          5,042         490       X        28-5284       490
                                                              15,435       1,500       X      X 28-5284      1500
BLACKROCK INCOME TR INC      COM            09247F100        190,850      34,700       X      X 28-5284                        34700
BLACKROCK CA INSD MUN 2008 T COM            09247G108        800,331      53,967       X        28-5284     53967
BLACKROCK FL INSD MUN 2008 T COM            09247H106         59,351       4,043       X        28-5284      4043
BLACKROCK INSD MUN 2008 TRM  COM            09247K109         86,268       5,825       X        28-5284      5825
                                                             184,444      12,454       X      X 28-5284       454              12000
BLACKROCK INC                COM            09247X101     45,711,196     235,019       X        28-5284    213517              21502
                                                           1,157,275       5,950       X      X 28-5284      5580                370
                                                       8,387,105,687  43,121,366       X        28-4750  43121366
BLACKROCK INSD MUN TERM TR I COM            092474105         15,888       1,600       X        28-5284      1600
                                                             178,740      18,000       X      X 28-5284                        18000
   COLUMN TOTAL                                        8,439,131,969







                                                                                                                    FILE NO. 28-1235
PAGE  34 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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 INCOME OPP TRUST I COM            092475102          4,215         500       X        28-5284       500
                                                             123,921      14,700       X      X 28-5284                        14700
BLACKROCK INSD MUN INCOME TR COM            092479104         81,763       7,333       X        28-5284      7333
                                                              62,775       5,630       X      X 28-5284                         5630
BLACKROCK MUNI 2018 TERM TR  COM            09248C106         16,666       1,199       X        28-5284      1199
BLACKROCK MUN INCOME TR      SH BEN INT     09248F109        111,536      10,978       X        28-5284     10978
                                                              54,864       5,400       X      X 28-5284      5400
BLACKROCK N J MUN INCOME TR  SH BEN INT     09248J101        940,702      68,365       X        28-5284     68365
                                                             173,238      12,590       X      X 28-5284     12590
BLACKROCK N Y MUN INCOME TR  SH BEN INT     09248L106          1,301         100       X        28-5284       100
BLACKROCK PA STRATEGIC MUN T COM            09248R103        148,638      14,601       X        28-5284     14601
                                                             234,211      23,007       X      X 28-5284     23007
BLACKROCK STRATEGIC MUN TR   COM            09248T109          1,005         100       X        28-5284       100
BLACKROCK NJ MUNICIPAL BOND  COM            09249A109        327,585      23,233       X        28-5284     23233
                                                              50,365       3,572       X      X 28-5284      3572
BLACKROCK CORE BD TR         SHS BEN INT    09249E101          6,633         636       X        28-5284       636
                                                             192,955      18,500       X      X 28-5284                        18500
BLACKROCK FL MUNICIPAL BOND  COM            09249K107         14,530       1,333       X        28-5284      1333
BLACKROCK MUNI INCOME TR II  COM            09249N101        124,935      12,071       X        28-5284     12071
                                                              38,295       3,700       X      X 28-5284      3700
BLACKROCK NY INS MUN INC TR  COM            09249U105          8,063         733       X        28-5284       733
BLACKROCK PFD OPPORTUNITY TR COM SHS        09249V103         20,055       2,100       X        28-5284      2100
BLACKROCK LTD DURATION INC T COM SHS        09249W101         36,221       2,900       X      X 28-5284      2900
BLACKROCK STRAT DIVD ACHIEVE COM            09249Y107         11,388       1,122       X      X 28-5284      1122
BLACKROCK LONG-TERM MUNI ADV COM            09250B103         17,672       2,000       X        28-5284      2000
BLACKROCK HIGH INCOME SHS    SHS BEN INT    09250E107         16,761      11,100       X      X 28-5284                        11100
   COLUMN TOTAL                                            2,820,293







                                                                                                                    FILE NO. 28-1235
PAGE  35 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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 WORLD INVT TR      COM SHS BN INT 09250K103         22,007       2,086       X      X 28-5284      2086
BLACKROCK DIVID ACHIEVRS TM  COM            09250N107          2,522         260       X        28-5284       260
                                                              19,381       1,998       X      X 28-5284      1998
BLACKROCK GLBL ENRGY & RES T COM            09250U101         96,632       4,105       X        28-5284      4105
                                                             301,689      12,816       X      X 28-5284     12816
BLACKROCK ENHANCED DIV ACHV  COM            09251A104         38,236       4,400       X        28-5284      4400
                                                             112,536      12,950       X      X 28-5284     12950
BLACKROCK MUNIVEST FD INC    COM            09253R105         13,660       2,000       X      X 28-5284                         2000
BLACKSTONE GROUP L P         COM UNIT LTD   09253U108         45,637       2,975       X        28-5284      2975
                                                           2,722,850     177,500       X      X 28-5284    177500
BLACKROCK MUNIYIELD FD INC   COM            09253W104        179,577      17,267       X      X 28-5284     16342                925
BLACKROCK MUNI INTER DR FD I COM            09253X102         29,548       2,650       X      X 28-5284      2650
                                                              66,900       6,000       X        28-4580                         6000
BLACKROCK MUNIENHANCED FD IN COM            09253Y100         12,896       1,612       X        28-4580      1612
BLACKROCK MUNYIELD INSD FD I COM            09254E103         20,520       2,000       X        28-5284      2000
                                                              42,743       4,166       X      X 28-5284      4166
BLACKROCK MUNIYIELD QUALITY  COM            09254F100         18,576       1,666       X      X 28-5284      1666
                                                              17,795       1,596       X        28-4580      1596
BLACKROCK MUNIYIELD ARIZ FD  COM            09254K109        117,916       8,933       X        28-5284      8933
                                                              57,605       4,364       X      X 28-5284      4364
BLACKROCK MUNIYIELD CALIF IN COM            09254N103         23,381       2,259       X        28-5284      2259
BLACKROCK MUNIHOLDINGS FLA I COM            09254P108         90,476       9,337       X      X 28-5284      9337
BLACKROCK MUNIHOLDINGS N J I COM            09254X101         58,658       5,275       X        28-5284      5275
BLACKROCK MUNIYIELD N J FD I COM            09254Y109        384,120      33,000       X        28-5284     33000
BLACKROCK GBL EQTY INCOME TR COM            09255D104         21,140       2,000       X        28-5284      2000
   COLUMN TOTAL                                            4,517,001







                                                                                                                    FILE NO. 28-1235
PAGE  36 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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 PA INSD  COM            09255G107        630,977      62,288       X        28-5284     62288
                                                             255,620      25,234       X      X 28-5284     25234
BLACKROCK PFD INCOME STRATEG COM            09255H105            834         100       X        28-5284       100
                                                              58,380       7,000       X      X 28-5284      2000     5000
BLACKROCK PFD & CORPORATE IN COM            09255J101         16,680       2,000       X      X 28-5284      2000
BLACKROCK ENHANCED GOVT FD I COM            09255K108         77,500       5,000       X      X 28-5284                         5000
BLACKROCK CORPOR HIGH YLD FD COM            09255L106          2,490         500       X      X 28-5284                          500
BLACKROCK CORPOR HI YLD FD V COM            09255N102         67,520       8,440       X        28-5284      8440
BLACKROCK DEBT STRAT FD INC  COM            09255R103         78,504      20,181       X        28-5284     20181
                                                               6,422       1,651       X      X 28-5284      1651
BLACKROCK SR HIGH INCOME FD  COM            09255T109         16,200       5,000       X        28-5284      5000
                                                               4,536       1,400       X      X 28-5284                         1400
BLACKROCK FLOAT RATE OME STR COM            09255X100         35,200       3,200       X        28-5284      3200
                                                              72,050       6,550       X      X 28-5284               6550
BLACKROCK FL RATE OME STRA I COM SHS        09255Y108        166,749      14,875       X      X 28-5284      1775    13100
BLACKROCK ENH CAP & INC FD I COM            09256A109         14,246       1,060       X      X 28-5284      1060
BLDRS INDEX FDS TR           EMER MK 50 ADR 09348R300         60,256       1,600       X      X 28-5284      1600
BLOCK H & R INC              COM            093671105        691,441      30,393       X        28-5284     21975     5598      2820
                                                             564,564      24,816       X      X 28-5284     24816
                                                             113,750       5,000       X        28-4580      5000
BLOCKBUSTER INC              CL A           093679108          1,066         520       X        28-5284       520
BLOCKBUSTER INC              CL B           093679207            681         520       X        28-5284       520
BLYTH INC                    COM            09643P108          5,670         500       X      X 28-5284       500
BOARDWALK PIPELINE PARTNERS  UT LTD PARTNER 096627104          6,180         300       X        28-5284       300
                                                              12,360         600       X      X 28-5284       600
   COLUMN TOTAL                                            2,959,876







                                                                                                                    FILE NO. 28-1235
PAGE  37 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
BOEING CO                    COM            097023105      7,481,881     130,460       X        28-5284    111494              18966
                                                          13,334,621     232,513       X      X 28-5284    224491       50      7972
                                                             227,106       3,960       X        28-11135     3960
                                                             283,883       4,950       X        28-4580      4950
                                                             131,905       2,300       X      X 28-4580      2300
BOLT TECHNOLOGY CORP         COM            097698104          1,085          75       X        28-5284        75
BORDERS GROUP INC            COM            099709107          1,968         300       X      X 28-5284       300
BORGWARNER INC               COM            099724106         38,996       1,190       X        28-5284      1190
                                                              35,457       1,082       X      X 28-5284       658                424
                                                               5,768         176       X        28-11135      176
BOSTON BEER INC              CL A           100557107         11,873         250       X        28-5284       250
BOSTON PRIVATE FINL HLDGS IN COM            101119105          3,758         430       X        28-5284                          430
                                                              28,842       3,300       X      X 28-5284      3300
BOSTON PROPERTIES INC        COM            101121101      6,337,223      67,662       X        28-5284     66072               1590
                                                           5,437,900      58,060       X      X 28-5284     57338                722
                                                               9,366         100       X        28-4580       100
BOSTON SCIENTIFIC CORP       COM            101137107      6,045,478     492,704       X        28-5284    415373              77331
                                                           1,333,577     108,686       X      X 28-5284     95920     1700     11066
                                                              23,546       1,919       X        28-11135     1919
BOWNE & CO INC               COM            103043105          2,426         210       X        28-5284                          210
BOYD GAMING CORP             COM            103304101        388,562      41,513       X        28-5284     36513               5000
                                                              43,543       4,652       X      X 28-5284      3102      750       800
                                                               7,020         750       X        28-4580       250                500
BRADY CORP                   CL A           104674106        307,289       8,710       X        28-5284      8260                450
                                                              98,784       2,800       X      X 28-5284                         2800
BRANDYWINE RLTY TR           SH BEN INT NEW 105368203        153,006       9,545       X        28-5284      9545
                                                             222,769      13,897       X      X 28-5284     13897
BRASIL TELECOM PARTICIPACOES SPON ADR PFD   105530109         36,938         756       X      X 28-5284       756
                                                             274,251       5,613       X        28-11135     5613
BREITBURN ENERGY PARTNERS LP COM UT LTD PTN 106776107         14,860       1,000       X      X 28-5284                         1000
   COLUMN TOTAL                                           42,323,681







                                                                                                                    FILE NO. 28-1235
PAGE  38 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
BRIDGE CAP HLDGS             COM            108030107         97,262       8,850       X        28-5284      8850
BRIGGS & STRATTON CORP       COM            109043109         33,412       2,065       X        28-5284      1655                410
                                                             694,122      42,900       X      X 28-5284     42900
                                                             151,785       9,381       X        28-11135     9381
BRIGHTPOINT INC              COM NEW        109473405            590          82       X      X 28-5284                           82
BRINKER INTL INC             COM            109641100      1,608,669      89,920       X        28-5284     84100               5820
                                                             189,187      10,575       X      X 28-5284     10575
BRINKS CO                    COM            109696104         18,306         300       X      X 28-5284       300
BRISTOL MYERS SQUIBB CO      COM            110122108     35,237,271   1,690,037       X        28-5284   1635384              54653
                                                          56,987,616   2,733,219       X      X 28-5284   2533257     8220    191742
                                                             766,321      36,754       X        28-11135    36754
                                                           1,271,787      60,997       X        28-4580     57797               3200
                                                           1,549,009      74,293       X      X 28-4580     72782     1511
BRISTOL MYERS SQUIBB CO      PFD CV $2      110122207          3,200           8       X      X 28-5284         8
BRISTOW GROUP INC            COM            110394103          2,098          62       X        28-11135       62
BRITISH AMERN TOB PLC        SPONSORED ADR  110448107         55,242         891       X        28-5284       891
                                                              92,814       1,497       X      X 28-5284       251               1246
                                                                 372           6       X        28-11135        6
BRITISH SKY BROADCASTING GRO SPONSORED ADR  111013108          5,584         188       X        28-5284       188
BROADCOM CORP                CL A           111320107      1,090,377      58,528       X        28-5284     52748               5780
                                                              47,507       2,550       X      X 28-5284      2550
                                                               1,025          55       X        28-11135       55
BROADRIDGE FINL SOLUTIONS IN COM            11133T103        629,251      40,887       X        28-5284     36187               4700
                                                             828,690      53,846       X      X 28-5284     51373       25      2448
                                                                 646          42       X        28-11135       42
                                                               3,848         250       X        28-4580       250
                                                               4,802         312       X      X 28-4580       312
BROCADE COMMUNICATIONS SYS I COM NEW        111621306          2,910         500       X        28-5284       500
                                                             122,325      21,018       X        28-11135    21018
BRONCO DRILLING CO INC       COM            112211107          5,110         500       X        28-5284       500
   COLUMN TOTAL                                          101,501,138







                                                                                                                    FILE NO. 28-1235
PAGE  39 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
BROOKDALE SR LIVING INC      COM            112463104          3,562         162       X        28-5284        62                100
BROOKFIELD ASSET MGMT INC    CL A LTD VT SH 112585104        135,718       4,946       X        28-5284      4946
                                                           2,875,026     104,775       X      X 28-5284     99150               5625
                                                               7,381         269       X        28-11135      269
                                                              48,020       1,750       X        28-4580                         1750
BROOKFIELD PPTYS CORP        COM            112900105        281,081      17,745       X        28-5284     17745
                                                              44,510       2,810       X      X 28-5284      1060               1750
BROOKLINE BANCORP INC DEL    COM            11373M107         37,091       2,900       X        28-5284      2900
BROWN & BROWN INC            COM            115236101        161,285       7,460       X        28-5284      3260               4200
BROWN FORMAN CORP            CL A           115637100      3,222,619      45,389       X        28-5284     45389
                                                              24,708         348       X      X 28-5284       348
                                                           1,758,244      24,764       X        28-4580     24764
BROWN FORMAN CORP            CL B           115637209      3,361,785      46,815       X        28-5284     46815
                                                          19,808,214     275,842       X      X 28-5284    275842
BROWN SHOE INC NEW           COM            115736100          5,602         342       X        28-5284                          342
                                                               2,457         150       X      X 28-5284       150
BRUKER CORP                  COM            116794108      1,142,381      85,700       X      X 28-5284     85700
BRUNSWICK CORP               COM            117043109         63,630       4,975       X        28-5284       975               4000
BRUSH ENGINEERED MATLS INC   COM            117421107          3,157         170       X        28-5284                          170
                                                              37,140       2,000       X      X 28-5284      2000
BRYN MAWR BK CORP            COM            117665109        158,256       7,200       X        28-5284      7200
                                                             265,958      12,100       X      X 28-5284      7000               5100
BUCKEYE PARTNERS L P         UNIT LTD PARTN 118230101      1,086,737      29,300       X        28-5284     29300
                                                             332,957       8,977       X      X 28-5284      8677      300
BUCKEYE TECHNOLOGIES INC     COM            118255108          4,095         500       X        28-5284       200                300
BUCKLE INC                   COM            118440106      1,010,828      18,200       X      X 28-5284     18200
BUCYRUS INTL INC NEW         COM            118759109         33,510         750       X        28-5284       750
                                                           1,040,150      23,280       X      X 28-5284     23280
   COLUMN TOTAL                                           36,956,102







                                                                                                                    FILE NO. 28-1235
PAGE  40 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
BURGER KING HLDGS INC        COM            121208201         10,242         417       X        28-5284       417
                                                             917,316      37,350       X      X 28-5284     37350
BURLINGTON NORTHN SANTA FE C COM            12189T104      4,704,779      50,901       X        28-5284     50103                798
                                                          14,730,107     159,365       X      X 28-5284    156925      165      2275
                                                             295,684       3,199       X        28-11135     3199
                                                              44,366         480       X        28-4580       480
                                                             700,435       7,578       X      X 28-4580      7578
C & F FINL CORP              COM            12466Q104        870,799      42,478       X        28-1500     42478
C&D TECHNOLOGIES INC         COM            124661109          1,022         180       X        28-5284                          180
CAE INC                      COM            124765108         24,120       3,000       X      X 28-5284                         3000
CBL & ASSOC PPTYS INC        COM            124830100      1,151,488      57,345       X        28-5284     54410               2935
                                                             251,000      12,500       X      X 28-5284     12500
CBS CORP NEW                 CL A           124857103         10,782         737       X        28-5284       370                367
                                                             222,552      15,212       X      X 28-5284     15137                 75
CBS CORP NEW                 CL B           124857202        561,490      38,511       X        28-5284     28463              10048
                                                           2,117,381     145,225       X      X 28-5284    133882              11343
                                                               8,063         553       X        28-11135      553
                                                              77,274       5,300       X        28-4580        50               5250
                                                              16,038       1,100       X      X 28-4580      1100
CBRL GROUP INC               COM            12489V106         39,450       1,500       X        28-5284      1500
                                                               5,260         200       X      X 28-5284       200
                                                               1,315          50       X        28-11135       50
CB RICHARD ELLIS GROUP INC   CL A           12497T101         14,399       1,077       X        28-5284        77               1000
                                                              32,302       2,416       X      X 28-5284      2416
C D I CORP                   COM            125071100          2,680         120       X        28-5284                          120
CEC ENTMT INC                COM            125137109         21,248         640       X        28-5284       450                190
CF INDS HLDGS INC            COM            125269100          5,488          60       X        28-5284        60
                                                              27,438         300       X      X 28-5284       200                100
   COLUMN TOTAL                                           26,864,518







                                                                                                                    FILE NO. 28-1235
PAGE  41 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
CH ENERGY GROUP INC          COM            12541M102         16,557         380       X        28-5284       250                130
                                                              13,071         300       X      X 28-5284       300
                                                              21,785         500       X      X 28-4580       500
C H ROBINSON WORLDWIDE INC   COM NEW        12541W209        133,057       2,611       X        28-5284      1891                720
                                                             458,640       9,000       X      X 28-5284      4700               4300
                                                             350,401       6,876       X        28-11135     6876
CIGNA CORP                   COM            125509109      6,700,550     197,191       X        28-5284    195891               1300
                                                          12,571,411     369,965       X      X 28-5284    323634     1500     44831
                                                             295,932       8,709       X        28-11135     8709
CIT GROUP INC                COM            125581108         29,782       4,279       X        28-5284       539               3740
                                                               1,204         173       X      X 28-5284       173
                                                               9,340       1,342       X        28-11135     1342
CLECO CORP NEW               COM            12561W105         13,837         548       X        28-5284       548
                                                              51,308       2,032       X      X 28-5284      1632                400
CKX INC                      COM            12562M106         12,320       2,000       X        28-5284      2000
CME GROUP INC                COM            12572Q105      1,256,075       3,381       X        28-5284      3039                342
                                                             173,867         468       X      X 28-5284       438                 30
                                                              93,249         251       X        28-11135      251
CMS ENERGY CORP              COM            125896100        137,045      10,990       X        28-5284       210              10780
                                                                  62           5       X      X 28-5284         5
CPI CORP                     COM            125902106            645          60       X        28-5284                           60
CNB FINL CORP PA             COM            126128107         41,100       3,750       X      X 28-5284      3750
CNOOC LTD                    SPONSORED ADR  126132109         57,713         504       X        28-5284       504
                                                             106,494         930       X      X 28-5284       930
CPFL ENERGIA S A             SPONSORED ADR  126153105         11,172         200       X      X 28-5284       200
                                                               2,793          50       X      X 28-4580        50
CRA INTL INC                 COM            12618T105         14,152         515       X      X 28-5284       515
CRH PLC                      ADR            12626K203          6,567         308       X        28-5284       308
                                                               2,132         100       X      X 28-5284       100
                                                             190,110       8,917       X        28-11135     8917
   COLUMN TOTAL                                           22,772,371







                                                                                                                    FILE NO. 28-1235
PAGE  42 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
CSX CORP                     COM            126408103      4,542,134      83,235       X        28-5284     81245               1990
                                                           4,095,424      75,049       X      X 28-5284     68224               6825
                                                             435,141       7,974       X        28-11135     7974
                                                             458,497       8,402       X        28-4580      8402
CTS CORP                     COM            126501105          9,815         768       X        28-5284       528                240
CVS CAREMARK CORPORATION     COM            126650100     14,022,790     416,601       X        28-5284    403737              12864
                                                          10,844,175     322,168       X      X 28-5284    298966     3729     19473
                                                             601,235      17,862       X        28-11135    17862
                                                             114,949       3,415       X        28-4580      3415
CA INC                       COM            12673P105        464,389      23,266       X        28-5284     23255                 11
                                                              71,856       3,600       X      X 28-5284      3600
CABELAS INC                  COM            126804301          6,040         500       X        28-5284       500
                                                             290,633      24,059       X        28-11135    24059
CABLEVISION SYS CORP         CL A NY CABLVS 12686C109          3,019         120       X        28-5284       120
                                                                 403          16       X        28-11135       16
CABOT CORP                   COM            127055101        557,739      17,550       X        28-5284     16425               1125
                                                             363,087      11,425       X      X 28-5284     11425
                                                              11,123         350       X        28-4580       350
                                                              12,712         400       X      X 28-4580       400
CABOT MICROELECTRONICS CORP  COM            12709P103         72,180       2,250       X      X 28-5284      2250
                                                              44,046       1,373       X        28-11135     1373
CABOT OIL & GAS CORP         COM            127097103         36,140       1,000       X        28-5284      1000
                                                               3,614         100       X      X 28-5284       100
                                                             221,502       6,129       X        28-11135     6129
CACI INTL INC                CL A           127190304         19,289         385       X        28-5284       135                250
CADBURY PLC                  SPONS ADR      12721E102         24,892         608       X        28-5284       608
                                                              86,056       2,102       X      X 28-5284      2102
                                                              14,493         354       X        28-11135      354
                                                             233,194       5,696       X      X 28-4580      5696
CADENCE DESIGN SYSTEM INC    COM            127387108            338          50       X      X 28-5284        50
CADIZ INC                    COM NEW        127537207         31,408       1,647       X      X 28-5284               1647
   COLUMN TOTAL                                           37,692,313







                                                                                                                    FILE NO. 28-1235
PAGE  43 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
CAL DIVE INTL INC DEL        COM            12802T101          1,473         139       X        28-5284       139
                                                             224,095      21,141       X      X 28-5284              21141
CAL MAINE FOODS INC          COM NEW        128030202         24,696         900       X        28-5284       900
CALAMOS CONV & HIGH INCOME F COM SHS        12811P108         12,000       1,200       X        28-5284      1200
                                                             167,480      16,748       X      X 28-5284     14158               2590
CALAMOS ASSET MGMT INC       CL A           12811R104          1,792         100       X        28-5284       100
CALAMOS STRATEGIC TOTL RETN  COM SH BEN INT 128125101         67,392       7,800       X        28-5284      7800
                                                              14,256       1,650       X      X 28-5284      1650
CALIFORNIA COASTAL CMNTYS IN COM NEW        129915203        440,696     202,154       X      X 28-5284             202154
CALIFORNIA WTR SVC GROUP     COM            130788102        134,750       3,500       X        28-5284      3500
                                                               9,625         250       X      X 28-5284       250
                                                               4,428         115       X        28-11135      115
CALIPER LIFE SCIENCES INC    COM            130872104          2,226         795       X      X 28-5284                795
CALLAWAY GOLF CO             COM            131193104          1,407         100       X        28-5284       100
                                                             227,456      16,166       X        28-11135    16166
CALLWAVE INC DEL             COM            13126N101        865,970     458,185       X      X 28-5284             458185
CALPINE CORP                 COM NEW        131347304          4,771         367       X        28-5284       367
                                                              63,700       4,900       X      X 28-5284      4900
                                                                 715          55       X        28-11135       55
                                                               3,250         250       X        28-4580       250
CAMDEN NATL CORP             COM            133034108         34,950       1,000       X      X 28-5284                         1000
CAMDEN PPTY TR               SH BEN INT     133131102        915,274      19,958       X        28-5284     19958
                                                             307,354       6,702       X      X 28-5284      6702
CAMECO CORP                  COM            13321L108         34,023       1,525       X        28-5284      1525
                                                             433,930      19,450       X      X 28-5284     19450
CAMERON INTERNATIONAL CORP   COM            13342B105         36,343         943       X        28-5284       943
                                                             106,370       2,760       X      X 28-5284       860               1900
                                                               2,235          58       X        28-11135       58
   COLUMN TOTAL                                            4,142,657







                                                                                                                    FILE NO. 28-1235
PAGE  44 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
CAMPBELL SOUP CO             COM            134429109      3,239,312      83,920       X        28-5284     83170                750
                                                         337,836,348   8,752,237       X      X 28-5284     86940  1248880   7416417
                                                               3,860         100       X        28-4580       100
                                                              57,900       1,500       X      X 28-4580      1500
CANADIAN NATL RY CO          COM            136375102        391,489       8,185       X        28-5284      7585                600
                                                           2,892,041      60,465       X      X 28-5284     25315              35150
CANADIAN NAT RES LTD         COM            136385101         76,675       1,120       X        28-5284      1120
                                                           1,781,329      26,020       X      X 28-5284     20000               6020
                                                              51,345         750       X      X 28-4580       750
CANADIAN PAC RY LTD          COM            13645T100        224,866       4,175       X      X 28-5284       600               3575
                                                                 916          17       X        28-11135       17
CANADIAN SOLAR INC           COM            136635109          3,906         200       X        28-5284       200
                                                              19,530       1,000       X      X 28-5284      1000
CANDELA CORP                 COM            136907102            338         138       X        28-11135      138
CANO PETE INC                COM            137801106            462         200       X      X 28-5284       200
CANON INC                    ADR            138006309        333,974       8,847       X        28-5284      8847
                                                             136,844       3,625       X      X 28-5284       100               3525
                                                              17,780         471       X        28-11135      471
                                                               3,888         103       X      X 28-4580                          103
CAPE FEAR BK CORP            COM            139380109        123,819      20,671       X      X 28-5284     20671
CAPELLA EDUCATION COMPANY    COM            139594105          9,901         231       X        28-11135      231
CAPITAL BK CORP              COM            139793103        822,500      87,500       X        28-1500     87500
CAPLEASE INC                 COM            140288101        475,800      60,000       X      X 28-5284     60000
                                                              59,475       7,500       X        28-4580                         7500
CAPITAL ONE FINL CORP        COM            14040H105     15,622,065     306,315       X        28-5284    268096              38219
                                                           3,215,295      63,045       X      X 28-5284     42915              20130
                                                              12,495         245       X        28-11135      245
CAPITAL TRUST INC MD         CL A NEW       14052H506        119,350       7,700       X      X 28-5284      7700
   COLUMN TOTAL                                          367,533,503







                                                                                                                    FILE NO. 28-1235
PAGE  45 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
CAPITALSOURCE INC            COM            14055X102          1,365         111       X        28-5284       111
                                                             207,132      16,840       X      X 28-5284       900              15940
CAPSTONE TURBINE CORP        COM            14067D102         12,900      10,000       X        28-5284     10000
                                                               2,141       1,660       X      X 28-5284      1660
CAPSTEAD MTG CORP            COM NO PAR     14067E506          5,475         500       X        28-5284                          500
                                                              10,950       1,000       X      X 28-5284      1000
CARBO CERAMICS INC           COM            140781105          8,516         165       X        28-5284                          165
CARDICA INC                  COM            14141R101          8,140       1,000       X        28-5284      1000
CARDINAL HEALTH INC          COM            14149Y108      3,593,153      72,913       X        28-5284     67751               5162
                                                           1,753,777      35,588       X      X 28-5284     30217               5371
                                                              14,784         300       X        28-4580       300
                                                              26,020         528       X      X 28-4580       528
CARDIOME PHARMA CORP         COM NEW        14159U202          1,520         200       X      X 28-5284       200
CAREER EDUCATION CORP        COM            141665109         38,586       2,360       X        28-5284      2360
CARDIUM THERAPEUTICS INC     COM            141916106            370         200       X        28-5284       200
                                                             388,500     210,000       X      X 28-5284    210000
CARLISLE COS INC             COM            142339100        359,640      12,000       X        28-5284     11666                334
                                                             179,820       6,000       X      X 28-5284                         6000
CARMAX INC                   COM            143130102         42,994       3,071       X        28-5284      3071
                                                             187,978      13,427       X      X 28-5284     10620               2807
CARNIVAL PLC                 ADR            14365C103         11,222         362       X        28-5284       362
                                                               1,147          37       X        28-11135       37
CARNIVAL CORP                DBCV 4/2       143658AV4      5,086,400       8,000       X        28-11439     8000
CARNIVAL CORP                PAIRED CTF     143658300      2,233,873      63,193       X        28-5284     39308              23885
                                                           1,695,139      47,953       X      X 28-5284     35455              12498
                                                              12,761         361       X        28-11135      361
                                                              19,054         539       X        28-4580       539
                                                              46,874       1,326       X      X 28-4580      1326
CARPENTER TECHNOLOGY CORP    COM            144285103      3,871,560     150,938       X        28-5284     71598              79340
                                                          17,609,187     686,518       X      X 28-5284    671718              14800
   COLUMN TOTAL                                           37,430,978







                                                                                                                    FILE NO. 28-1235
PAGE  46 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
CASEYS GEN STORES INC        COM            147528103         18,404         610       X        28-5284       200                410
CASH AMER INTL INC           COM            14754D100          8,650         240       X        28-5284                          240
CASTLE A M & CO              COM            148411101          2,419         140       X        28-5284                          140
CATAPULT COMMUNICATIONS CORP COM            149016107            289          60       X        28-5284                           60
CATERPILLAR INC DEL          COM            149123101     10,746,238     180,306       X        28-5284    133818              46488
                                                          12,679,662     212,746       X      X 28-5284    186003      275     26468
                                                             333,164       5,590       X        28-11135     5590
                                                             143,696       2,411       X        28-4580      2411
                                                             460,470       7,726       X      X 28-4580      7726
CATO CORP NEW                CL A           149205106          4,124         235       X        28-5284                          235
CEDAR FAIR L P               DEPOSITRY UNIT 150185106      2,241,402     108,228       X        28-5284    108228
                                                             123,225       5,950       X      X 28-5284      3800      350      1800
CELANESE CORP DEL            COM SER A      150870103      1,231,919      44,139       X        28-5284     42796               1343
                                                           1,690,927      60,585       X      X 28-5284     60353                232
                                                              20,933         750       X        28-11135      750
                                                              13,955         500       X        28-4580       500
CELL GENESYS INC             COM            150921104            590       1,000       X        28-5284      1000
CELL THERAPEUTICS INC        NOTE  4.000% 7 150934AF4      9,000,000   1,000,000       X      X 28-5284            1000000
CELERA CORP                  COM            15100E106         16,995       1,100       X        28-5284      1100
                                                               6,180         400       X      X 28-5284       400
CELGENE CORP                 COM            151020104        321,905       5,087       X        28-5284      3027               2060
                                                           1,669,769      26,387       X      X 28-5284     26387
                                                             214,962       3,397       X        28-11135     3397
                                                              12,656         200       X        28-4580       200
CEMEX SAB DE CV              SPON ADR NEW   151290889        125,034       7,261       X        28-5284      7261
                                                              42,482       2,467       X      X 28-5284      1967                500
                                                                 172          10       X        28-11135       10
CENTERLINE HOLDINGS CO       SH BEN INT     15188T108            199         100       X        28-5284       100
                                                               5,695       2,862       X      X 28-5284      2862
   COLUMN TOTAL                                           41,136,116







                                                                                                                    FILE NO. 28-1235
PAGE  47 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
CENTERPOINT ENERGY INC       COM            15189T107        191,537      13,146       X        28-5284      9246               3900
                                                             216,831      14,882       X      X 28-5284     14632                250
CENTERPLATE INC              UNIT 99/99/999 15200E204          7,600       2,500       X      X 28-5284      2500
CENTERSTATE BKS FLA INC      COM            15201P109          7,148         400       X        28-5284       400
CENTEX CORP                  COM            152312104        124,173       7,665       X        28-5284        85               7580
CENTILLIUM COMMUNICATIONS IN COM            152319109      2,132,239   3,613,964       X      X 28-5284            3613964
CENTRAL EUROPEAN DIST CORP   COM            153435102          6,812         150       X      X 28-5284       150
                                                             129,419       2,850       X        28-11135     2850
CENTRAL EUROPE AND RUSSIA FD COM            153436100          9,023         294       X        28-5284       294
CENTRAL FD CDA LTD           CL A           153501101        568,034      52,450       X        28-5284     52450
                                                              21,660       2,000       X      X 28-5284      2000
                                                              10,830       1,000       X      X 28-4580      1000
CENTRAL GARDEN & PET CO      CL A NON-VTG   153527205          1,190         200       X        28-5284       200
CENTRAL VT PUB SVC CORP      COM            155771108          2,110          90       X        28-5284                           90
                                                               7,032         300       X      X 28-5284       300
CENTRAL VA BANKSHARES INC    COM            155792104          8,200       1,000       X        28-5284      1000
CENTRUE FINL CORP NEW        COM            15643B106        373,909      29,098       X        28-1500     29098
CENTURY ALUM CO              COM            156431108          8,030         290       X        28-5284                          290
                                                             143,102       5,168       X        28-11135     5168
CENTURY CASINOS INC          COM            156492100         10,681       5,086       X      X 28-5284               5086
CENTURYTEL INC               COM            156700106         86,494       2,360       X        28-5284      1010               1350
                                                              60,363       1,647       X      X 28-5284      1647
                                                             219,900       6,000       X        28-11439     6000
CEPHALON INC                 COM            156708109      3,493,637      45,085       X        28-5284     33240              11845
                                                           2,104,163      27,154       X      X 28-5284     22874               4280
                                                             260,831       3,366       X        28-11135     3366
   COLUMN TOTAL                                           10,204,948







                                                                                                                    FILE NO. 28-1235
PAGE  48 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
CERADYNE INC                 COM            156710105         67,454       1,840       X        28-5284       550               1290
                                                             109,980       3,000       X      X 28-5284                         3000
CERNER CORP                  COM            156782104        479,701      10,746       X        28-5284      9678               1068
                                                              16,740         375       X      X 28-5284       375
                                                               1,384          31       X        28-11135       31
CHAMPION ENTERPRISES INC     COM            158496109          3,275         590       X        28-5284                          590
                                                                 555         100       X      X 28-5284       100
CHARLES RIV LABS INTL INC    COM            159864107          5,553         100       X        28-5284       100
                                                             275,040       4,953       X      X 28-5284       950               4003
                                                             204,628       3,685       X        28-11135     3685
CHARMING SHOPPES INC         COM            161133103            342          70       X        28-5284        70
CHART INDS INC               COM PAR $0.01  16115Q308         49,923       1,748       X        28-11135     1748
CHARTER COMMUNICATIONS INC D CL A           16117M107             73         100       X        28-5284       100
                                                                  55          76       X      X 28-5284        76
CHASE CORP                   COM            16150R104         10,575         846       X        28-5284       846
CHATTEM INC                  COM            162456107        199,672       2,554       X        28-11135     2554
CHECKPOINT SYS INC           COM            162825103          6,211         330       X        28-5284                          330
                                                               1,882         100       X        28-11135      100
CHEESECAKE FACTORY INC       COM            163072101         34,138       2,335       X        28-5284      2335
                                                               2,559         175       X      X 28-5284       175
CHEMED CORP NEW              COM            16359R103          8,212         200       X        28-5284       200
CHEMTURA CORP                COM            163893100         21,888       4,800       X        28-5284      4800
                                                              19,316       4,236       X      X 28-5284      4014                222
CHENIERE ENERGY PARTNERS LP  COM UNIT       16411Q101          6,950       1,000       X        28-5284      1000
                                                              10,425       1,500       X      X 28-5284      1500
CHEROKEE INC DEL NEW         COM            16444H102        644,542      29,324       X        28-5284     29324
   COLUMN TOTAL                                            2,181,073







                                                                                                                    FILE NO. 28-1235
PAGE  49 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
CHESAPEAKE ENERGY CORP       COM            165167107        976,970      27,244       X        28-5284     23264               3980
                                                           1,933,033      53,905       X      X 28-5284     53905
                                                               1,721          48       X        28-11135       48
                                                           9,606,894     267,900       X        28-11439   267900
                                                              89,650       2,500       X        28-4580                         2500
                                                              10,758         300       X      X 28-4580       300
CHESAPEAKE UTILS CORP        COM            165303108          6,642         200       X        28-5284       200
                                                             232,470       7,000       X      X 28-5284      5800               1200
                                                              98,933       2,979       X        28-4580      2979
CHEVRON CORP NEW             COM            166764100    149,063,712   1,807,271       X        28-5284   1695414      443    111414
                                                         143,138,514   1,735,433       X      X 28-5284   1576689     5394    153350
                                                           2,331,957      28,273       X        28-11135    28273
                                                           3,801,916      46,095       X        28-4580     45995                100
                                                           2,380,455      28,861       X      X 28-4580     25837      944      2080
CHICAGO BRIDGE & IRON CO N V N Y REGISTRY S 167250109         46,176       2,400       X        28-5284      1400               1000
                                                             614,718      31,950       X      X 28-5284     13300              18650
CHICOS FAS INC               COM            168615102         32,776       5,992       X        28-5284      5992
                                                              11,022       2,015       X      X 28-5284      2015
                                                               3,282         600       X        28-11135      600
CHILDRENS PL RETAIL STORES I COM            168905107         83,375       2,500       X        28-5284      2500
CHINA EASTN AIRLS LTD        SPON ADR CL H  16937R104          4,002         235       X        28-5284       235
CHINA FD INC                 COM            169373107          9,301         349       X      X 28-5284       233                116
CHINA LIFE INS CO LTD        SPON ADR REP H 16939P106          6,452         116       X        28-5284       116
                                                              27,810         500       X      X 28-5284                          500
CHINA NETCOM GROUP CORP HK L SPONSORED ADR  16940Q101            136           3       X      X 28-5284         3
CHINA SOUTHN AIRLS LTD       SPON ADR CL H  169409109          6,263         645       X        28-5284       645
CHINA MOBILE LIMITED         SPONSORED ADR  16941M109         18,530         370       X        28-5284       370
                                                              24,038         480       X      X 28-5284       480
CHINA PETE & CHEM CORP       SPON ADR H SHS 16941R108          2,115          27       X        28-5284        27
                                                              15,901         203       X      X 28-5284       203
                                                             218,227       2,786       X        28-11135     2786
   COLUMN TOTAL                                          314,797,749







                                                                                                                    FILE NO. 28-1235
PAGE  50 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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 SEC & SURVE TECH INC   COM            16942J105         55,520       4,000       X      X 28-5284      4000
CHINA UNICOM LTD             SPONSORED ADR  16945R104         15,120       1,000       X      X 28-5284      1000
CHINA MED TECHNOLOGIES INC   SPONSORED ADR  169483104         16,616         510       X        28-5284       510
                                                              29,322         900       X      X 28-5284       900
CHIPOTLE MEXICAN GRILL INC   CL A           169656105         56,600       1,020       X        28-5284       920                100
                                                             105,431       1,900       X      X 28-5284      1150                750
CHIPOTLE MEXICAN GRILL INC   CL B           169656204         11,641         249       X        28-5284        49                200
                                                                 421           9       X      X 28-5284                            9
CHOICE HOTELS INTL INC       COM            169905106         40,650       1,500       X      X 28-4580      1500
CHIQUITA BRANDS INTL INC     COM            170032809        428,467      27,101       X        28-5284     27101
                                                              15,810       1,000       X      X 28-5284                         1000
CHRISTOPHER & BANKS CORP     COM            171046105          2,109         275       X        28-5284                          275
                                                              46,404       6,050       X      X 28-5284      6050
CHUBB CORP                   COM            171232101     56,188,613   1,023,472       X        28-5284    953047              70425
                                                          26,805,968     488,269       X      X 28-5284    429595     4503     54171
                                                              15,043         274       X        28-11135      274
                                                           1,008,348      18,367       X        28-4580     17894                473
                                                             285,535       5,201       X      X 28-4580      5201
CHUNGHWA TELECOM CO LTD      SPON ADR NEW   17133Q304            142           6       X        28-11135        6
CHURCH & DWIGHT INC          COM            171340102        305,793       4,925       X        28-5284      4925
                                                           8,677,078     139,750       X      X 28-5284    139750
                                                           9,158,275     147,500       X        28-11439   147500
CHURCHILL DOWNS INC          COM            171484108      3,243,749      66,226       X        28-5284     66226
                                                             259,594       5,300       X      X 28-5284      5300
CIBER INC                    COM            17163B102          2,656         380       X        28-5284                          380
CIENA CORP                   COM NEW        171779309          8,669         860       X      X 28-5284       860
   COLUMN TOTAL                                          106,783,574







                                                                                                                    FILE NO. 28-1235
PAGE  51 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
CIMAREX ENERGY CO            COM            171798101      2,101,076      42,958       X        28-5284     38518               4440
                                                             311,312       6,365       X      X 28-5284      2950      525      2890
                                                               1,369          28       X        28-11135       28
                                                              86,815       1,775       X        28-4580      1175                600
CINCINNATI BELL INC NEW      COM            171871106        150,081      48,570       X        28-5284     48570
                                                              13,645       4,416       X      X 28-5284      4416
CINCINNATI FINL CORP         COM            172062101     15,393,833     541,274       X        28-5284    386699             154575
                                                           1,388,754      48,831       X      X 28-5284     46219      200      2412
                                                               2,560          90       X        28-11135       90
CIRCOR INTL INC              COM            17273K109         20,195         465       X      X 28-5284       465
                                                              35,656         821       X        28-11135      821
CIRCUIT CITY STORE INC       COM            172737108      1,213,809   1,597,117       X        28-5284   1487950             109167
                                                              91,116     119,890       X      X 28-5284    119890
CISCO SYS INC                COM            17275R102    119,394,717   5,292,319       X        28-5284   4978228             314091
                                                          79,775,070   3,536,129       X      X 28-5284   3173885    39740    322504
                                                             258,425      11,455       X        28-11135    11455
                                                           2,511,515     111,326       X        28-4580    108556               2770
                                                           1,298,035      57,537       X      X 28-4580     57537
CITADEL BROADCASTING CORP    COM            17285T106          8,695      11,147       X        28-5284     10782                365
                                                              13,150      16,859       X      X 28-5284     16121                738
                                                                   5           6       X        28-11135        6
                                                                 270         346       X        28-4580       216                130
                                                                 179         230       X      X 28-4580       230
CINTAS CORP                  COM            172908105      1,817,860      63,318       X        28-5284     61510               1808
                                                           1,043,924      36,361       X      X 28-5284     34561               1800
CITIZENS & NORTHN CORP       COM            172922106        154,276       7,159       X        28-5284      7159
                                                             704,340      32,684       X      X 28-5284     32684
CITIGROUP INC                COM            172967101     38,130,367   1,859,111       X        28-5284   1676541      260    182310
                                                          28,824,754   1,405,400       X      X 28-5284   1222750    11815    170835
                                                             552,252      26,926       X        28-11135    26926
                                                             514,534      25,087       X        28-4580     23887               1200
                                                             638,374      31,125       X      X 28-4580     29407      189      1529
   COLUMN TOTAL                                          296,450,963







                                                                                                                    FILE NO. 28-1235
PAGE  52 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
CITIZENS REPUBLIC BANCORP IN COM            174420109        101,569      32,977       X        28-5284     32977
                                                                 308         100       X      X 28-5284       100
                                                             224,224      72,800       X        28-1500     72800
CITRIX SYS INC               COM            177376100        146,584       5,803       X        28-5284      5803
                                                              60,195       2,383       X        28-11135     2383
CITY BK LYNNWOOD WASH        COM            17770A109        708,240      45,400       X        28-1500     45400
CITY NATL CORP               COM            178566105        233,164       4,294       X        28-5284      3674                620
                                                              36,055         664       X      X 28-5284       664
                                                               1,086          20       X        28-11135       20
CLARCOR INC                  COM            179895107         70,208       1,850       X        28-5284      1430                420
                                                             378,969       9,986       X      X 28-5284      9986
CLARIENT INC                 COM            180489106        142,912      81,200       X        28-5284     81200
CLAYMORE EXCHANGE TRADED FD  BNY BRI&C PTF  18383M100        148,035       4,260       X        28-5284      4260
CLAYMORE EXCHANGE TRADED FD  ZACKS SECT RTN 18383M407         18,464         800       X      X 28-5284       800
CLAYMORE EXCHANGE TRADED FD  MAC GLOB SOLAR 18383M621        121,095       6,750       X        28-5284      6750
                                                             170,466       9,502       X      X 28-5284      9502
CLAYMORE ETF TRUST 2         SWM CDN ENERGY 18383Q606         18,172         880       X      X 28-5284       880
CLAYMORE/GUGGENHEIM STR OPP  COM SBI        18385X104         16,740       1,500       X      X 28-5284      1500
CLEAN HARBORS INC            COM            184496107      1,293,583      19,150       X      X 28-5284     19150
CLEAN ENERGY FUELS CORP      COM            184499101         16,980       1,200       X      X 28-5284      1200
CLEAR CHANNEL OUTDOOR HLDGS  CL A           18451C109          4,569         334       X        28-5284       334
CLEVELAND CLIFFS INC         COM            185896107         40,234         760       X        28-5284       500                260
                                                             143,150       2,704       X      X 28-5284      2704
CLOROX CO DEL                COM            189054109     10,552,733     168,332       X        28-5284    159807               8525
                                                           5,084,849      81,111       X      X 28-5284     74336               6775
                                                             507,789       8,100       X        28-4580      8100
                                                              68,959       1,100       X      X 28-4580      1100
   COLUMN TOTAL                                           20,309,332







                                                                                                                    FILE NO. 28-1235
PAGE  53 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
CLOUGH GLOBAL ALLOCATION FUN COM SHS BEN IN 18913Y103         20,340       1,500       X        28-5284      1500
CLOUGH GLOBAL OPPORTUNITIES  SH BEN INT     18914E106         12,632       1,050       X        28-5284      1050
COACH INC                    COM            189754104      4,126,216     164,785       X        28-5284    158235               6550
                                                           3,253,773     129,943       X      X 28-5284    129068                875
                                                             660,104      26,362       X        28-11135    26362
                                                              39,663       1,584       X        28-4580      1584
                                                               2,604         104       X      X 28-4580       104
COCA COLA HELLENIC BTTLG CO  SPONSORED ADR  1912EP104         11,342         510       X        28-5284       510
COCA COLA CO                 COM            191216100    110,627,392   2,092,046       X        28-5284   1990979             101067
                                                          98,496,086   1,862,634       X      X 28-5284   1717312    18626    126696
                                                              48,808         923       X        28-11135      923
                                                           2,869,322      54,261       X        28-4580     54128                133
                                                           2,878,629      54,437       X      X 28-4580     53762      675
COCA COLA ENTERPRISES INC    COM            191219104         65,889       3,929       X        28-5284      3929
                                                              11,991         715       X      X 28-5284       715
                                                               2,918         174       X        28-11135      174
COCA COLA FEMSA S A B DE C V SPON ADR REP L 191241108        280,003       5,549       X        28-11135     5549
CODORUS VY BANCORP INC       COM            192025104         71,881       5,651       X        28-5284      5314                337
                                                             369,287      29,032       X      X 28-5284     29032
COEUR D ALENE MINES CORP IDA COM            192108108         10,364       6,774       X        28-5284      6774
                                                               1,530       1,000       X      X 28-5284                         1000
COGNEX CORP                  COM            192422103          6,854         340       X        28-5284                          340
                                                             421,445      20,905       X        28-11135    20905
COGNIZANT TECHNOLOGY SOLUTIO CL A           192446102      1,315,853      57,637       X        28-5284     51257               6380
                                                             150,998       6,614       X      X 28-5284      6614
                                                              24,930       1,092       X        28-11135     1092
COHEN & STEERS INC           COM            19247A100         28,330       1,000       X        28-5284      1000
COHEN & STEERS QUALITY RLTY  COM            19247L106         26,986       2,152       X        28-5284      2152
                                                              18,547       1,479       X      X 28-5284                         1479
COHEN & STEERS PREM INC RLTY COM            19247V104         11,580       1,000       X        28-5284      1000
   COLUMN TOTAL                                          225,866,297







                                                                                                                    FILE NO. 28-1235
PAGE  54 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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 ADV INC RLTY  COM            19247W102          7,466         647       X        28-5284       647
                                                              23,080       2,000       X      X 28-5284      2000
COHEN & STEERS REIT & PFD IN COM            19247X100          9,922         765       X        28-5284       765
                                                               6,485         500       X      X 28-5284       500
COHEN & STEERS REIT & UTIL I COM            19247Y108          8,301         662       X      X 28-5284       662
COHERENT INC                 COM            192479103         35,550       1,000       X        28-5284      1000
COHEN & STEERS SELECT UTIL F COM            19248A109         60,134       3,782       X      X 28-5284      2670               1112
COHEN & STEERS DIV MJRS FDIN COM            19248G106         34,275       2,500       X        28-5284      2500
                                                              40,678       2,967       X      X 28-5284      2967
COHEN & STEERS CLOSED END OP COM            19248P106         30,132       2,700       X        28-5284      2700
                                                              43,145       3,866       X      X 28-5284      3866
COHU INC                     COM            192576106          3,006         190       X        28-5284                          190
COLDWATER CREEK INC          COM            193068103      1,013,707     175,079       X        28-5284    146264              28815
                                                             131,230      22,665       X      X 28-5284     22665
COLGATE PALMOLIVE CO         COM            194162103     70,805,415     939,687       X        28-5284    904558              35129
                                                          44,534,035     591,029       X      X 28-5284    554374     5962     30693
                                                              35,490         471       X        28-11135      471
                                                           1,395,934      18,526       X        28-4580     18033                493
                                                             711,229       9,439       X      X 28-4580      9439
COLLECTIVE BRANDS INC        COM            19421W100         64,158       3,504       X      X 28-5284      3504
COLONIAL BANCGROUP INC       COM            195493309        242,112      30,803       X        28-5284     29123               1680
                                                             448,020      57,000       X      X 28-5284      5000              52000
                                                                 817         104       X        28-11135      104
COLONIAL PPTYS TR            COM SH BEN INT 195872106         19,905       1,065       X        28-5284       645                420
                                                             207,627      11,109       X      X 28-5284     11109
COLUMBUS MCKINNON CORP N Y   COM            199333105            684          29       X        28-11135       29
   COLUMN TOTAL                                          119,912,537







                                                                                                                    FILE NO. 28-1235
PAGE  55 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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           20030N101     10,428,143     531,235       X        28-5284    474742              56493
                                                           8,298,740     422,758       X      X 28-5284    351126     6145     65487
                                                              47,426       2,416       X        28-11135     2416
                                                              95,637       4,872       X        28-4580      4872
                                                              42,479       2,164       X      X 28-4580      2164
COMCAST CORP NEW             CL A SPL       20030N200     54,310,793   2,754,097       X        28-5284   2698447              55650
                                                           1,613,135      81,802       X      X 28-5284     39852     4550     37400
                                                               7,119         361       X      X 28-4580       361
COMERICA INC                 COM            200340107        302,061       9,212       X        28-5284      8612                600
                                                             256,910       7,835       X      X 28-5284      7385                450
                                                           1,170,603      35,700       X        28-1500     35700
COMM BANCORP INC             COM            200468106        739,200      17,600       X        28-5284     17600
COMMERCE BANCSHARES INC      COM            200525103          2,506          54       X        28-5284        54
                                                              35,589         767       X      X 28-5284       767
COMMERCEFIRST BANCORP INC    COM            200845105         19,375       2,500       X      X 28-5284      2500
COMMERCIAL METALS CO         COM            201723103         19,728       1,168       X        28-5284      1168
                                                              50,822       3,009       X      X 28-5284      3009
                                                             145,220       8,598       X        28-11135     8598
COMMERICAL NATL FINL CORP PA COM            202217105          2,235         150       X      X 28-5284       150
COMMSCOPE INC                COM            203372107        219,756       6,344       X        28-5284      6004                340
                                                               9,457         273       X        28-11135      273
COMMUNITY BANCSHARES INC S C COM            20343F100         47,648       2,353       X      X 28-5284      2353
COMMUNITY BANCORP NEV        COM            20343T100        677,979     106,100       X        28-1500    106100
COMMUNITY BK SYS INC         COM            203607106        157,640       6,268       X        28-5284      6268
                                                              25,150       1,000       X      X 28-5284      1000
COMMUNITY HEALTH SYS INC NEW COM            203668108         32,974       1,125       X        28-5284      1125
COMMUNITY TR BANCORP INC     COM            204149108         25,800         750       X        28-5284       750
CGG VERITAS                  SPONSORED ADR  204386106         64,947       2,043       X        28-5284      2043
                                                              77,949       2,452       X      X 28-5284      2452
   COLUMN TOTAL                                           78,927,021







                                                                                                                    FILE NO. 28-1235
PAGE  56 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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 SIDERURGICA NACION SPONSORED ADR  20440W105         47,835       2,250       X      X 28-5284      2250
COMPANHIA VALE DO RIO DOCE   SPONSORED ADR  204412209        159,596       8,334       X        28-5284      8334
                                                             216,395      11,300       X      X 28-5284     11300
                                                                 421          22       X        28-11135       22
                                                               1,915         100       X      X 28-4580       100
COMPANIA CERVECERIAS UNIDAS  SPONSORED ADR  204429104            450          14       X        28-11135       14
COMPANIA DE MINAS BUENAVENTU SPONSORED ADR  204448104          4,696         200       X        28-5284       200
COMPASS MINERALS INTL INC    COM            20451N101         52,390       1,000       X        28-5284      1000
                                                              18,860         360       X      X 28-5284       360
COMPASS DIVERSIFIED HOLDINGS SH BEN INT     20451Q104         26,486       1,900       X        28-5284      1900
COMPLETE PRODUCTION SERVICES COM            20453E109            845          42       X        28-5284        42
COMPUTER PROGRAMS & SYS INC  COM            205306103          2,027          70       X        28-5284        70
COMPUTER SCIENCES CORP       COM            205363104        420,468      10,462       X        28-5284       270              10192
                                                              85,484       2,127       X      X 28-5284       627               1500
                                                             320,234       7,968       X        28-11135     7968
COMPX INTERNATIONAL INC      CL A           20563P101            275          50       X        28-5284        50
COMPUWARE CORP               COM            205638109          6,153         635       X        28-5284       635
COMTECH TELECOMMUNICATIONS C COM NEW        205826209         36,684         745       X        28-5284       745
                                                             242,655       4,928       X        28-11135     4928
CONAGRA FOODS INC            COM            205887102      6,057,528     311,281       X        28-5284    294331              16950
                                                           4,816,545     247,510       X      X 28-5284    238433      687      8390
                                                              17,864         918       X        28-11135      918
                                                             288,825      14,842       X        28-4580     14842
                                                              48,806       2,508       X      X 28-4580      2508
CON-WAY INC                  COM            205944101         22,055         500       X        28-5284       500
CONCHO RES INC               COM            20605P101          2,761         100       X      X 28-5284       100
CONEXANT SYSTEMS INC         COM NEW        207142308         13,634       3,400       X        28-5284      3400
                                                                 152          38       X      X 28-5284        38
   COLUMN TOTAL                                           12,912,039







                                                                                                                    FILE NO. 28-1235
PAGE  57 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
CONMED CORP                  COM            207410101          7,360         230       X        28-5284                          230
                                                              16,000         500       X      X 28-5284       500
CONNECTICUT WTR SVC INC      COM            207797101          2,895         100       X        28-5284       100
                                                             147,645       5,100       X      X 28-5284       600               4500
CONOCOPHILLIPS               COM            20825C104     49,210,302     671,813       X        28-5284    588133              83680
                                                          35,039,504     478,355       X      X 28-5284    437730     7473     33152
                                                           2,074,953      28,327       X        28-11135    28327
                                                          13,578,792     185,376       X        28-4580    185376
                                                          10,401,793     142,004       X      X 28-4580    140235      354      1415
CONSECO INC                  COM NEW        208464883          1,225         348       X        28-5284       348
                                                             462,176     131,300       X      X 28-5284             131300
CONSOL ENERGY INC            COM            20854P109        503,735      10,977       X        28-5284     10037                940
                                                             884,025      19,264       X      X 28-5284      8664              10600
CONSOLIDATED COMM HLDGS INC  COM            209034107        216,865      14,381       X        28-5284     14381
                                                              12,064         800       X      X 28-5284       400                400
CONSOLIDATED EDISON INC      COM            209115104      6,448,640     150,108       X        28-5284    145613               4495
                                                          13,124,323     305,501       X      X 28-5284    145420      250    159831
                                                             306,691       7,139       X        28-4580      7139
                                                             208,485       4,853       X      X 28-4580      4853
CONSOLIDATED GRAPHICS INC    COM            209341106          3,033         100       X        28-5284                          100
CONSOLIDATED TOMOKA LD CO    COM            210226106        255,037       5,905       X      X 28-5284       325     2000      3580
CONSTELLATION BRANDS INC     CL A           21036P108        200,093       9,324       X        28-5284      9324
                                                              34,336       1,600       X      X 28-5284      1600
                                                             554,205      25,825       X        28-11135    25825
CONSTELLATION BRANDS INC     CL B           21036P207         19,264         896       X        28-5284       896
CONSTELLATION ENERGY GROUP I COM            210371100      2,054,735      84,557       X        28-5284     80518               4039
                                                           3,173,629     130,602       X      X 28-5284    107649      825     22128
                                                                 972          40       X        28-11135       40
                                                              17,010         700       X        28-4580       700
CONSTELLATION ENERGY PRTNR L COM UNIT LLC B 21038E101         11,480       1,000       X      X 28-5284                         1000
   COLUMN TOTAL                                          138,971,267







                                                                                                                    FILE NO. 28-1235
PAGE  58 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
CONSUMER PORTFOLIO SVCS INC  COM            210502100         69,000      30,000       X      X 28-5284     30000
CONTANGO OIL & GAS COMPANY   COM NEW        21075N204         81,132       1,503       X      X 28-5284       118               1385
CONTINENTAL AIRLS INC        CL B           210795308          2,502         150       X        28-5284       150
                                                              16,680       1,000       X      X 28-5284      1000
CONTINENTAL RESOURCES INC    COM            212015101         33,346         850       X      X 28-5284       850
                                                             569,149      14,508       X        28-11135    14508
CONVERGYS CORP               COM            212485106      3,457,944     233,961       X        28-5284    121598             112363
                                                             543,608      36,780       X      X 28-5284     35280               1500
COOPER COS INC               COM NEW        216648402         30,936         890       X        28-5284       500                390
                                                                 382          11       X        28-11135       11
COOPER TIRE & RUBR CO        COM            216831107        193,930      22,550       X        28-5284     22550
COPART INC                   COM            217204106         99,370       2,615       X        28-5284      2615
CORINTHIAN COLLEGES INC      COM            218868107         34,830       2,322       X        28-5284      2322
                                                             145,500       9,700       X      X 28-5284      9700
CORN PRODS INTL INC          COM            219023108        123,342       3,821       X        28-5284      3821
                                                             943,512      29,229       X      X 28-5284     26679               2550
CORNING INC                  COM            219350105      6,886,746     440,329       X        28-5284    421441              18888
                                                           5,118,096     327,244       X      X 28-5284    282013     1125     44106
                                                               5,052         323       X        28-11135      323
                                                              86,599       5,537       X        28-4580      5087                450
                                                              60,402       3,862       X      X 28-4580      3862
CORPORATE EXECUTIVE BRD CO   COM            21988R102         24,219         775       X        28-5284        15                760
CORPORATE OFFICE PPTYS TR    SH BEN INT     22002T108        976,067      24,190       X        28-5284     17690               6500
                                                             487,832      12,090       X      X 28-5284     12090
                                                              54,473       1,350       X        28-4580      1350
                                                              24,210         600       X      X 28-4580       600
CORRECTIONS CORP AMER NEW    COM NEW        22025Y407          2,286          92       X        28-5284        92
                                                               4,970         200       X      X 28-5284       200
CORUS BANKSHARES INC         COM            220873103      1,041,660     257,200       X        28-1500    257200
   COLUMN TOTAL                                           21,117,775







                                                                                                                    FILE NO. 28-1235
PAGE  59 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
CORVEL CORP                  COM            221006109         13,733         480       X      X 28-5284       480
COSTCO WHSL CORP NEW         COM            22160K105      5,569,955      85,784       X        28-5284     72484              13300
                                                           5,052,853      77,820       X      X 28-5284     57253              20567
                                                              10,259         158       X        28-11135      158
                                                             264,265       4,070       X        28-11439     4070
COTT CORP QUE                COM            22163N106          1,798       1,665       X        28-5284      1665
COUSINS PPTYS INC            COM            222795106         12,615         500       X      X 28-5284                          500
COVANCE INC                  COM            222816100      2,536,394      28,689       X        28-5284     28689
                                                           1,811,167      20,486       X      X 28-5284     19486               1000
                                                              13,438         152       X        28-11135      152
COVANTA HLDG CORP            COM            22282E102        107,730       4,500       X      X 28-5284      4500
COVENTRY HEALTH CARE INC     COM            222862104      5,296,438     162,717       X        28-5284    144820              17897
                                                             450,101      13,828       X      X 28-5284      7778               6050
                                                                  33           1       X        28-11135        1
COWLITZ BANCORP LONGVIEW WAS COM            223767104         74,346      11,801       X        28-1500     11801
COX RADIO INC                CL A           224051102            106          10       X        28-5284        10
CRANE CO                     COM            224399105        178,260       6,000       X      X 28-5284      6000
CREDIT SUISSE ASSET MGMT INC COM            224916106         64,400      23,000       X        28-5284     23000
CRAY INC                     COM NEW        225223304          7,931       1,531       X        28-5284      1531
CREDIT SUISSE GROUP          SPONSORED ADR  225401108         71,841       1,488       X        28-5284      1488
                                                               6,228         129       X      X 28-5284       129
                                                               2,607          54       X        28-11135       54
CREE INC                     COM            225447101         40,207       1,765       X        28-5284      1765
                                                              66,062       2,900       X      X 28-5284      2900
                                                             371,018      16,287       X        28-11135    16287
CRESCENT BKG CO              COM            225646108         27,317       4,630       X        28-1500      4630
CRESCENT FINL CORP           COM            225744101         15,864       2,644       X      X 28-5284                         2644
   COLUMN TOTAL                                           22,066,966







                                                                                                                    FILE NO. 28-1235
PAGE  60 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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         47,220      13,190       X      X 28-5284     13190
CROSS CTRY HEALTHCARE INC    COM            227483104          6,516         400       X        28-5284       400
CROSS TIMBERS RTY TR         TR UNIT        22757R109         20,723         450       X        28-5284       450
                                                           2,694,155      58,505       X      X 28-5284     58505
CROSSTEX ENERGY L P          COM            22765U102         18,260       1,000       X        28-5284      1000
                                                               5,478         300       X      X 28-5284       300
CROSSTEX ENERGY INC          COM            22765Y104        257,191      10,300       X        28-5284     10300
CROWN CASTLE INTL CORP       COM            228227104        273,361       9,436       X        28-5284      9436
                                                              35,546       1,227       X      X 28-5284      1227
CROWN HOLDINGS INC           COM            228368106        201,223       9,060       X        28-5284      9060
                                                              22,210       1,000       X      X 28-5284      1000
CROWN MEDIA HLDGS INC        CL A           228411104         39,737       7,900       X        28-5284      7900
CRUCELL N V                  SPONSORED ADR  228769105          8,496         546       X        28-5284       546
CRYOLIFE INC                 COM            228903100          2,493         190       X        28-5284                          190
CRYSTAL RIV CAP INC          COM            229393301            808         400       X        28-5284       400
CRYSTALLEX INTL CORP         COM            22942F101            810       1,000       X        28-5284      1000
CTRIP COM INTL LTD           ADR            22943F100            772          20       X        28-5284        20
CUBIC CORP                   COM            229669106          4,918         200       X        28-5284       200
CULLEN FROST BANKERS INC     COM            229899109      4,259,400      70,990       X        28-5284     67584               3406
                                                             592,800       9,880       X      X 28-5284      9094                786
                                                              57,720         962       X        28-11135      962
                                                             240,000       4,000       X      X 28-4580      4000
CUMMINS INC                  COM            231021106      5,849,343     133,791       X        28-5284    132601               1190
                                                           4,018,961      91,925       X      X 28-5284     89985     1300       640
                                                             584,405      13,367       X        28-11135    13367
                                                             393,480       9,000       X        28-4580      9000
                                                               4,372         100       X      X 28-4580       100
   COLUMN TOTAL                                           19,640,398







                                                                                                                    FILE NO. 28-1235
PAGE  61 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
CUMULUS MEDIA INC            CL A           231082108          3,089         725       X        28-5284       725
CURAGEN CORP                 COM            23126R101          8,000      10,000       X      X 28-5284     10000
CURRENCYSHARES AUSTRALIAN DL AUSTRALIAN DOL 23129U101         40,420         509       X      X 28-5284       509
CURRENCYSHARES SWISS FRANC T SWISS FRANC SH 23129V109         26,752         300       X        28-5284       300
CURRENCYSHARES EURO TR       EURO SHS       23130C108         79,625         565       X        28-5284       565
                                                              31,005         220       X      X 28-5284       220
CURTISS WRIGHT CORP          COM            231561101         29,997         660       X        28-5284       300                360
                                                              77,265       1,700       X      X 28-5284       200               1500
CYBEROPTICS CORP             COM            232517102        218,342      23,154       X        28-11135    23154
CYMER INC                    COM            232572107          6,586         260       X        28-5284                          260
CYPRESS SEMICONDUCTOR CORP   COM            232806109          3,758         720       X        28-5284       600                120
                                                              31,842       6,100       X      X 28-5284      6100
CYTEC INDS INC               COM            232820100          9,183         236       X        28-5284       236
                                                              79,143       2,034       X      X 28-5284      1155                879
D & E COMMUNICATIONS INC     COM            232860106      1,042,761     138,114       X        28-5284    138114
                                                              45,300       6,000       X      X 28-5284      6000
DCP MIDSTREAM PARTNERS LP    COM UT LTD PTN 23311P100         44,838       2,650       X        28-5284      2650
DCT INDUSTRIAL TRUST INC     COM            233153105            112          15       X      X 28-5284        15
DDI CORP                     COM 0.0001 NEW 233162502      7,369,684   1,417,247       X      X 28-5284            1417247
DNP SELECT INCOME FD         COM            23325P104        216,918      23,175       X        28-5284     23175
                                                           1,024,864     109,494       X      X 28-5284     12500              96994
                                                              23,597       2,521       X        28-4580      2521
DPL INC                      COM            233293109        459,246      18,518       X        28-5284     17438               1080
                                                             533,026      21,493       X      X 28-5284     17001               4492
DRS TECHNOLOGIES INC         COM            23330X100         76,750       1,000       X        28-5284      1000
                                                             302,779       3,945       X      X 28-5284                         3945
   COLUMN TOTAL                                           11,784,882







                                                                                                                    FILE NO. 28-1235
PAGE  62 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
D R HORTON INC               COM            23331A109        373,596      28,694       X        28-5284     10196              18498
DST SYS INC DEL              COM            233326107         85,385       1,525       X        28-5284      1525
                                                              24,076         430       X      X 28-4580       430
DTE ENERGY CO                COM            233331107        161,804       4,033       X        28-5284      3011               1022
                                                             165,294       4,120       X      X 28-5284      3995                125
                                                              16,971         423       X      X 28-4580       423
DTF TAX-FREE INCOME INC      COM            23334J107         23,670       2,030       X      X 28-5284      2030
DSW INC                      CL A           23334L102          4,110         300       X      X 28-5284       300
DWS MULTI MKT INCOME TR      SHS            23338L108          8,838       1,325       X      X 28-5284      1325
DWS MUN INCOME TR            COM            23338M106         13,971       1,636       X        28-5284      1636
DWS RREEF REAL ESTATE FD II  COM            23338X102         23,228       2,850       X        28-5284      2850
DAKTRONICS INC               COM            234264109         57,477       3,450       X        28-5284      3450
                                                             236,572      14,200       X      X 28-5284      4775               9425
                                                             158,120       9,491       X        28-11135     9491
DANAHER CORP DEL             COM            235851102      5,876,029      84,669       X        28-5284     75499               9170
                                                           7,923,467     114,171       X      X 28-5284     98286     2300     13585
                                                             341,587       4,922       X        28-11135     4922
                                                              27,760         400       X        28-4580       400
DARDEN RESTAURANTS INC       COM            237194105      1,529,701      53,430       X        28-5284     53330                100
                                                             530,571      18,532       X      X 28-5284     17275               1257
DARLING INTL INC             COM            237266101         45,295       4,077       X        28-11135     4077
DASSAULT SYS S A             SPONSORED ADR  237545108         10,238         191       X        28-5284       191
                                                               1,501          28       X      X 28-5284        28
DATASCOPE CORP               COM            238113104          5,163         100       X        28-5284                          100
DAVITA INC                   COM            23918K108         88,879       1,559       X        28-5284      1559
DAWSON GEOPHYSICAL CO        COM            239359102         10,739         230       X        28-5284       230
                                                               1,214          26       X        28-11135       26
   COLUMN TOTAL                                           17,745,256







                                                                                                                    FILE NO. 28-1235
PAGE  63 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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          6,480         400       X        28-5284       400
DAYSTAR TECHNOLOGIES INC     COM            23962Q100        236,040      84,300       X      X 28-5284      1000    83300
DEALERTRACK HLDGS INC        COM            242309102            960          57       X        28-5284        57
DEAN FOODS CO NEW            COM            242370104        143,898       6,160       X        28-5284      6160
                                                              23,360       1,000       X      X 28-5284      1000
                                                              19,202         822       X        28-11135      822
DECODE GENETICS INC          COM            243586104            585       1,500       X        28-5284      1500
DECORATOR INDS INC           COM PAR $0.20  243631207            180         100       X      X 28-5284       100
DEERE & CO                   COM            244199105      3,110,976      62,848       X        28-5284     59568               3280
                                                           3,652,110      73,780       X      X 28-5284     61620              12160
                                                              52,767       1,066       X        28-11135     1066
                                                              55,440       1,120       X        28-4580      1120
DEERFIELD CAPITAL CORP       COM            244331104          2,600       4,000       X      X 28-5284      4000
DEL MONTE FOODS CO           COM            24522P103        486,049      62,314       X        28-5284     59756               2558
                                                             404,344      51,839       X      X 28-5284     49300       44      2495
                                                              30,287       3,883       X        28-4580      3883
                                                               2,605         334       X      X 28-4580       334
DELAWARE INVTS DIV & INCOME  COM            245915103          6,120         900       X        28-5284       900
DELL INC                     COM            24702R101     10,297,347     624,839       X        28-5284    550524              74315
                                                           5,343,113     324,218       X      X 28-5284    291918     6499     25801
                                                             217,470      13,196       X        28-11135    13196
                                                               8,240         500       X        28-4580       500
                                                              67,568       4,100       X      X 28-4580      4100
DELPHI FINL GROUP INC        CL A           247131105         11,104         396       X        28-5284        46                350
                                                               8,412         300       X      X 28-5284                          300
                                                              49,463       1,764       X        28-11135     1764
DELTA AIR LINES INC DEL      COM NEW        247361702          8,456       1,135       X        28-5284       475                660
                                                              19,988       2,683       X      X 28-5284               2683
DELTA NAT GAS INC            COM            247748106         15,366         600       X        28-5284       600
                                                               8,964         350       X      X 28-5284       350
   COLUMN TOTAL                                           24,289,494







                                                                                                                    FILE NO. 28-1235
PAGE  64 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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          5,728          90       X        28-5284                           90
DELTA PETE CORP              COM NEW        247907207      2,959,761     217,950       X        28-5284    217950
DENBURY RES INC              COM NEW        247916208         14,090         740       X        28-5284       740
                                                             148,512       7,800       X      X 28-5284      7800
                                                               4,570         240       X        28-11135      240
DELUXE CORP                  COM            248019101          4,317         300       X        28-5284       300
DENISON MINES CORP           COM            248356107          8,242       2,775       X        28-5284      2775
DENTSPLY INTL INC NEW        COM            249030107      4,538,886     120,908       X        28-5284    118987               1921
                                                           3,086,389      82,216       X      X 28-5284     80586               1630
                                                                 338           9       X        28-11135        9
                                                              12,013         320       X        28-4580       320
                                                              32,284         860       X      X 28-4580       860
DEUTSCHE BK AG LDN BRH       PS GOLD DL ETN 25154H749          5,799         300       X        28-5284       300
                                                              57,987       3,000       X      X 28-5284      3000
DEUTSCHE TELEKOM AG          SPONSORED ADR  251566105         47,198       3,099       X        28-5284      3099
                                                           1,131,330      74,283       X      X 28-5284     74283
                                                              87,359       5,736       X        28-11135     5736
DEVELOPERS DIVERSIFIED RLTY  COM            251591103        763,887      24,105       X        28-5284     24105
                                                             446,290      14,083       X      X 28-5284     10578               3505
DEVON ENERGY CORP NEW        COM            25179M103     21,371,717     234,339       X        28-5284    218661              15678
                                                           7,532,299      82,591       X      X 28-5284     71856     1590      9145
                                                              24,989         274       X        28-11135      274
                                                             258,187       2,831       X        28-4580      2831
                                                             136,344       1,495       X      X 28-4580      1495
DEVRY INC DEL                COM            251893103        271,430       5,479       X        28-5284                         5479
                                                             421,239       8,503       X      X 28-5284      2403               6100
                                                               8,125         164       X        28-11135      164
DIAGEO P L C                 SPON ADR NEW   25243Q205      2,310,253      33,550       X        28-5284     28195               5355
                                                           2,061,324      29,935       X      X 28-5284     20075       75      9785
                                                             151,767       2,204       X        28-11135     2204
                                                              61,974         900       X        28-4580       750                150
                                                             344,300       5,000       X      X 28-4580      5000
   COLUMN TOTAL                                           48,308,928







                                                                                                                    FILE NO. 28-1235
PAGE  65 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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 FOODS INC            COM            252603105         56,060       2,000       X      X 28-5284                         2000
DIAMOND OFFSHORE DRILLING IN COM            25271C102      3,550,005      34,446       X        28-5284     21984              12462
                                                           3,364,497      32,646       X      X 28-5284     27086               5560
                                                                 412           4       X        28-11135        4
                                                              15,459         150       X        28-4580       150
DIAMONDROCK HOSPITALITY CO   COM            252784301            246          27       X      X 28-5284        27
DIAMONDS TR                  UNIT SER 1     252787106     10,560,982      97,462       X        28-5284     94960               2502
                                                           7,563,528      69,800       X      X 28-5284     69781                 19
                                                              52,663         486       X        28-4580       486
DICKS SPORTING GOODS INC     COM            253393102        669,460      34,191       X        28-5284     34023                168
                                                             870,194      44,443       X      X 28-5284     44423                 20
                                                               9,790         500       X        28-4580       500
DIEBOLD INC                  COM            253651103         79,100       2,389       X        28-5284      2189                200
                                                              61,618       1,861       X      X 28-5284      1061                800
                                                               4,967         150       X      X 28-4580       150
DIEDRICH COFFEE INC          COM NEW        253675201         34,002      17,001       X      X 28-5284              17001
DIGI INTL INC                COM            253798102          1,836         180       X        28-5284                          180
DIGITAL RLTY TR INC          COM            253868103        704,498      14,910       X        28-5284     14630                280
                                                             742,014      15,704       X      X 28-5284     15704
DIME CMNTY BANCSHARES        COM            253922108          2,892         190       X        28-5284                          190
DILLARDS INC                 CL A           254067101          5,900         500       X        28-5284       500
DIME BANCORP INC NEW         *W EXP 99/99/9 25429Q110            205       2,277       X        28-5284      2177                100
                                                                 197       2,187       X      X 28-5284               2187
DIODES INC                   COM            254543101         41,051       2,225       X        28-11135     2225
DIONEX CORP                  COM            254546104          9,533         150       X        28-5284                          150
                                                             305,040       4,800       X      X 28-5284      4800
   COLUMN TOTAL                                           28,706,149







                                                                                                                    FILE NO. 28-1235
PAGE  66 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
DIRECTV GROUP INC            COM            25459L106        997,510      38,102       X        28-5284     33711               4391
                                                             300,887      11,493       X      X 28-5284     10341               1152
                                                             872,475      33,326       X        28-11135    33326
                                                               4,294         164       X        28-4580       164
                                                               4,843         185       X      X 28-4580       185
DISCOVERY LABORATORIES INC N COM            254668106         28,050      15,000       X        28-5284     15000
                                                              14,960       8,000       X      X 28-5284      8000
DISNEY WALT CO               COM DISNEY     254687106     61,781,395   2,013,079       X        28-5284   1897204             115875
                                                          51,390,865   1,674,515       X      X 28-5284   1548436    16620    109459
                                                             584,276      19,038       X        28-11135    19038
                                                           1,097,873      35,773       X        28-4580     35553                220
                                                             516,666      16,835       X      X 28-4580     16835
DISH NETWORK CORP            CL A           25470M109        762,846      36,326       X        28-5284     33886               2440
                                                              57,120       2,720       X      X 28-5284      2720
                                                               1,365          65       X        28-11135       65
                                                               4,410         210       X      X 28-4580       210
DISCOVER FINL SVCS           COM            254709108      1,767,011     127,859       X        28-5284     89585              38274
                                                           1,627,913     117,794       X      X 28-5284    107694      100     10000
                                                             502,578      36,366       X        28-11135    36366
                                                               3,110         225       X        28-11439      225
                                                               6,330         458       X        28-4580       458
                                                              15,976       1,156       X      X 28-4580      1156
DITECH NETWORKS INC          COM            25500T108      1,542,710   1,296,395       X      X 28-5284            1296395
DOLAN MEDIA CO               COM            25659P402          5,378         533       X        28-11135      533
DOLBY LABORATORIES INC       COM            25659T107      4,405,506     125,192       X        28-5284    123609               1583
                                                           2,278,412      64,746       X      X 28-5284     64646                100
                                                               8,903         253       X        28-11135      253
                                                              13,337         379       X        28-4580       379
DOLLAR TREE INC              COM            256746108         57,812       1,590       X        28-5284      1290                300
                                                               3,636         100       X      X 28-5284       100
DOMINION RES BLACK WARRIOR T UNITS BEN INT  25746Q108          8,660         400       X        28-5284       400
                                                              41,135       1,900       X      X 28-5284      1500                400
   COLUMN TOTAL                                          130,708,242







                                                                                                                    FILE NO. 28-1235
PAGE  67 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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     26,250,236     613,610       X        28-5284    601607              12003
                                                          26,394,062     616,972       X      X 28-5284    569239     1426     46307
                                                              58,437       1,366       X        28-11135     1366
                                                             268,059       6,266       X        28-4580      6266
                                                             962,892      22,508       X      X 28-4580     19008               3500
DOMINOS PIZZA INC            COM            25754A201          3,642         300       X      X 28-5284       300
DOMTAR CORP                  COM            257559104         55,034      11,964       X        28-5284     11964
                                                                 110          24       X      X 28-5284        24
DONALDSON INC                COM            257651109      1,406,835      33,568       X        28-5284     33568
                                                           1,437,723      34,305       X      X 28-5284      8915              25390
DONEGAL GROUP INC            CL A           257701201         79,554       4,388       X        28-5284      4388
DONEGAL GROUP INC            CL B           257701300         10,349         616       X        28-5284       616
DONNELLEY R R & SONS CO      COM            257867101        256,044      10,438       X        28-5284      8563               1875
                                                             802,254      32,705       X      X 28-5284     29505               3200
                                                             563,356      22,966       X        28-11135    22966
DORCHESTER MINERALS LP       COM UNIT       25820R105         23,100       1,000       X      X 28-5284      1000
DOUGLAS EMMETT INC           COM            25960P109        157,337       6,820       X        28-5284      6820
                                                               9,459         410       X      X 28-5284       410
DOVER CORP                   COM            260003108      9,630,909     237,507       X        28-5284    218137              19370
                                                           8,446,200     208,291       X      X 28-5284    172705     8000     27586
                                                             399,742       9,858       X        28-11135     9858
                                                             129,760       3,200       X        28-4580      3200
                                                              40,550       1,000       X      X 28-4580      1000
DOW CHEM CO                  COM            260543103     17,632,847     554,841       X        28-5284    507308              47533
                                                          22,281,308     701,111       X      X 28-5284    664826      700     35585
                                                              42,109       1,325       X        28-11135     1325
                                                             258,721       8,141       X        28-4580      7541                600
                                                              46,081       1,450       X      X 28-4580      1450
DOW 30 COVERED CALL FD INC   COM            260582101         17,950       1,250       X      X 28-5284      1250
DOWNEY FINL CORP             COM            261018105             76          27       X        28-11135       27
   COLUMN TOTAL                                          117,664,736







                                                                                                                    FILE NO. 28-1235
PAGE  68 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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          4,184         158       X        28-5284       158
                                                             119,901       4,528       X      X 28-5284      1528               3000
                                                               7,017         265       X        28-11135      265
                                                             113,123       4,272       X      X 28-4580      4272
DREAMWORKS ANIMATION SKG INC CL A           26153C103         11,699         372       X        28-11135      372
DREMAN/CLAYMORE DIVID & INC  COM            26153R100          6,122       1,175       X      X 28-5284      1175
DRESS BARN INC               COM            261570105          5,504         360       X        28-5284                          360
DRESSER-RAND GROUP INC       COM            261608103        434,286      13,800       X        28-5284      2600              11200
                                                             251,760       8,000       X      X 28-5284                         8000
DREW INDS INC                COM NEW        26168L205         68,440       4,000       X      X 28-5284      4000
DREYFUS STRATEGIC MUNS INC   COM            261932107         40,648       6,013       X        28-5284      6013
                                                                 757         112       X      X 28-5284       112
DREYFUS HIGH YIELD STRATEGIE SH BEN INT     26200S101         38,144      12,800       X      X 28-5284                        12800
DREYFUS MUN INCOME INC       COM            26201R102          9,309       1,328       X      X 28-5284      1328
DREYFUS STRATEGIC MUN BD FD  COM            26202F107         32,978       5,105       X      X 28-5284      5105
DRIL-QUIP INC                COM            262037104         48,597       1,120       X        28-5284        50               1070
DU PONT E I DE NEMOURS & CO  COM            263534109     53,769,469   1,334,230       X        28-5284   1281368              52862
                                                          67,981,788   1,686,893       X      X 28-5284   1549016     8748    129129
                                                             668,819      16,596       X        28-11135    16596
                                                          17,272,459     428,597       X        28-4580    428597
                                                          10,917,310     270,901       X      X 28-4580    265981      472      4448
DUFF & PHELPS UTIL CORP BD T COM            26432K108          5,976         600       X        28-5284       600
                                                             147,408      14,800       X      X 28-5284       600              14200
DUKE ENERGY CORP NEW         COM            26441C105      5,457,560     313,113       X        28-5284    306268               6845
                                                           7,321,559     420,055       X      X 28-5284    374117              45938
                                                              13,020         747       X        28-11135      747
                                                              51,209       2,938       X        28-4580      2938
                                                             263,036      15,091       X      X 28-4580     15091
   COLUMN TOTAL                                          165,062,082







                                                                                                                    FILE NO. 28-1235
PAGE  69 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
DUKE REALTY CORP             COM NEW        264411505      1,734,045      70,547       X        28-5284     67147               3400
                                                           2,507,701     102,022       X      X 28-5284     98422               3600
                                                              11,110         452       X        28-11135      452
                                                              19,664         800       X        28-4580       800
                                                              73,740       3,000       X      X 28-4580      3000
DUN & BRADSTREET CORP DEL NE COM            26483E100      1,303,017      13,809       X        28-5284     13209                600
                                                             536,908       5,690       X      X 28-5284      3727               1963
                                                              18,872         200       X      X 28-4580       200
DUNCAN ENERGY PARTNERS LP    COM UNITS      265026104         15,960       1,000       X      X 28-5284                         1000
DYNAMIC MATLS CORP           COM            267888105          4,642         200       X        28-5284       200
DYNAVAX TECHNOLOGIES CORP    COM            268158102          7,100       5,000       X        28-5284      5000
DYNEGY INC DEL               CL A           26817G102          4,128       1,153       X        28-5284      1153
                                                                 143          40       X      X 28-5284        40
                                                                 802         224       X        28-11135      224
                                                                  21           6       X      X 28-4580         6
EDCI HLDGS INC               COM            268315108             80          20       X      X 28-5284                           20
E M C CORP MASS              COM            268648102     12,691,091   1,061,128       X        28-5284    940798             120330
                                                           5,970,193     499,180       X      X 28-5284    431329              67851
                                                              38,511       3,220       X        28-11135     3220
                                                             115,773       9,680       X        28-4580      8430               1250
                                                              57,408       4,800       X      X 28-4580      4800
EMC INS GROUP INC            COM            268664109          2,948         100       X        28-5284       100
EMS TECHNOLOGIES INC         COM            26873N108         44,620       2,000       X        28-5284      2000
ENSCO INTL INC               COM            26874Q100        403,468       7,001       X        28-5284      7001
                                                             333,390       5,785       X      X 28-5284      5135                650
                                                               1,671          29       X        28-11135       29
ENI S P A                    SPONSORED ADR  26874R108        628,093      11,862       X        28-5284     11862
                                                               3,812          72       X      X 28-5284        72
                                                             308,646       5,829       X        28-11135     5829
                                                              41,672         787       X        28-4580       787
   COLUMN TOTAL                                           26,879,229







                                                                                                                    FILE NO. 28-1235
PAGE  70 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
EOG RES INC                  COM            26875P101     19,488,861     217,850       X        28-5284    215550               2300
                                                          12,512,412     139,866       X      X 28-5284    135116      150      4600
                                                             367,054       4,103       X        28-4580      4103
                                                              84,092         940       X      X 28-4580       940
EPIQ SYS INC                 COM            26882D109        382,486      28,124       X        28-11135    28124
ERP OPER LTD PARTNERSHIP     NOTE  3.850% 8 26884AAV5      4,522,500       5,000       X        28-11439     5000
EAGLE BANCORP INC MD         COM            268948106          1,420         169       X      X 28-5284       169
E TRADE FINANCIAL CORP       COM            269246104          2,822       1,008       X        28-5284      1008
EV3 INC                      COM            26928A200         20,080       2,000       X      X 28-5284      2000
EAGLE MATERIALS INC          COM            26969P108          2,237         100       X        28-5284       100
                                                               3,445         154       X      X 28-5284                          154
EAGLE ROCK ENERGY PARTNERS L UNIT           26985R104         15,795       1,500       X        28-5284      1500
EARTHLINK INC                COM            270321102            850         100       X        28-5284       100
                                                             106,250      12,500       X      X 28-5284              12500
EAST WEST BANCORP INC        COM            27579R104         55,759       4,070       X        28-5284       160               3910
                                                             269,411      19,665       X      X 28-5284      1500              18165
                                                             246,806      18,015       X        28-11135    18015
                                                             520,600      38,000       X        28-1500     38000
EASTERN AMERN NAT GAS TR     SPERS RCT UNIT 276217106         73,500       3,000       X      X 28-5284      3000
EASTERN INS HLDGS INC        COM            276534104         10,129         750       X      X 28-5284       750
EASTGROUP PPTY INC           COM            277276101        359,924       7,415       X        28-5284      7415
                                                              18,445         380       X      X 28-5284       380
EASTMAN CHEM CO              COM            277432100        129,721       2,356       X        28-5284      2356
                                                             434,974       7,900       X      X 28-5284      5000               2900
                                                              13,380         243       X        28-4580       243
EASTMAN KODAK CO             NOTE  3.375%10 277461BE8     21,214,050      23,000       X        28-11439    23000
   COLUMN TOTAL                                           60,857,003







                                                                                                                    FILE NO. 28-1235
PAGE  71 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
EASTMAN KODAK CO             COM            277461109        267,966      17,423       X        28-5284     14551               2872
                                                             171,026      11,120       X      X 28-5284     11120
                                                              13,796         897       X        28-11135      897
EATON CORP                   COM            278058102      4,124,511      73,416       X        28-5284     64071               9345
                                                           3,535,744      62,936       X      X 28-5284     55374               7562
                                                             165,787       2,951       X        28-11135     2951
EATON VANCE PA MUNI INCOME T SH BEN INT     27826T101         54,366       4,920       X        28-5284      4920
EATON VANCE MUNI INCOME TRUS SH BEN INT     27826U108          8,365         700       X      X 28-5284       700
EATON VANCE NJ MUNI INCOME T SH BEN INT     27826V106         10,350       1,000       X        28-5284      1000
EATON VANCE CORP             COM NON VTG    278265103        148,882       4,226       X        28-5284      4226
                                                              35,230       1,000       X      X 28-5284      1000
                                                               3,875         110       X        28-11135      110
EATON VANCE INS MUN BD FD II COM            27827K109         18,698       1,605       X      X 28-5284                         1605
EATON VANCE INS MUN BD FD    COM            27827X101         62,384       5,600       X        28-5284      5600
                                                              66,840       6,000       X      X 28-5284      6000
EATON VANCE ENHANCED EQ INC  COM            278274105         15,972       1,200       X        28-5284      1200
                                                              33,448       2,513       X      X 28-5284      2513
EATON VANCE ENH EQTY INC FD  COM            278277108         16,764       1,200       X        28-5284      1200
EATON VANCE TAX ADVT DIV INC COM            27828G107         41,364       2,638       X        28-5284      2638
                                                              62,375       3,978       X      X 28-5284      3978
EATON VANCE LTD DUR INCOME F COM            27828H105         55,100       5,000       X      X 28-5284      1000               4000
EATON VANCE TX MGD DIV EQ IN COM            27828N102         50,871       4,146       X        28-5284      4146
                                                             142,946      11,650       X      X 28-5284      6750               4900
                                                              17,178       1,400       X        28-4580      1400
EATON VANCE TX ADV GLBL DIV  COM            27828S101         20,678       1,435       X        28-5284      1435
                                                             381,793      26,495       X      X 28-5284     26495
EATON VANCE SH TM DR DIVR IN COM            27828V104         59,616       4,800       X      X 28-5284                         4800
   COLUMN TOTAL                                            9,585,925







                                                                                                                    FILE NO. 28-1235
PAGE  72 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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 INS PA MUN BD FD COM            27828W102         67,134       5,010       X        28-5284      5010
                                                              83,576       6,237       X      X 28-5284      6237
EATON VANCE TX MNG BY WRT OP COM            27828Y108         63,441       5,300       X        28-5284      5300
                                                              53,865       4,500       X      X 28-5284                         4500
EATON VANCE TXMGD GL BUYWR O COM            27829C105         45,878       3,955       X        28-5284      3955
EATON VANCE TAX MNG GBL DV E COM            27829F108         20,757       1,850       X        28-5284      1850
                                                              50,490       4,500       X      X 28-5284      4500
                                                              11,220       1,000       X        28-4580      1000
EATON VANCE RISK MNGD DIV EQ COM            27829G106          8,269         500       X      X 28-5284                          500
EBAY INC                     COM            278642103      4,921,452     219,904       X        28-5284    193869              26035
                                                           1,670,197      74,629       X      X 28-5284     54974     1200     18455
                                                             337,848      15,096       X        28-11135    15096
                                                              46,998       2,100       X        28-4580      2100
                                                              14,547         650       X      X 28-4580       650
ECHELON CORP                 COM            27874N105         14,820       1,500       X        28-5284      1500
ECHOSTAR CORP                CL A           278768106          2,097          87       X        28-5284        87
                                                                 313          13       X        28-11135       13
                                                               1,012          42       X      X 28-4580        42
ECOLAB INC                   COM            278865100      1,068,653      22,025       X        28-5284     20525               1500
                                                           2,489,027      51,299       X      X 28-5284     28569              22730
                                                              24,260         500       X        28-4580       500
                                                              21,834         450       X      X 28-4580       450
EDEN BIOSCIENCE CORP         COM PAR $.0025 279445878         53,019      44,931       X      X 28-5284              44931
EDGEWATER TECHNOLOGY INC     COM            280358102        127,074      26,147       X      X 28-5284              26147
EDISON INTL                  COM            281020107        695,537      17,432       X        28-5284      3542              13890
                                                             382,641       9,590       X      X 28-5284      9040                550
                                                             115,830       2,903       X        28-11135     2903
EDUCATION RLTY TR INC        COM            28140H104          6,072         548       X        28-5284       548
EDWARDS LIFESCIENCES CORP    COM            28176E108        143,765       2,489       X        28-5284      2132                357
                                                              54,121         937       X      X 28-5284       647                290
   COLUMN TOTAL                                           12,595,747







                                                                                                                    FILE NO. 28-1235
PAGE  73 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
EL PASO CORP                 COM            28336L109         98,928       7,753       X        28-5284      7753
                                                             222,904      17,469       X      X 28-5284     14469               3000
                                                               5,104         400       X        28-4580       400
EL PASO ELEC CO              COM NEW        283677854          7,140         340       X        28-5284                          340
EL PASO ENERGY CAP TR I      PFD CV TR SECS 283678209          6,660         200       X        28-5284       200
                                                               3,330         100       X      X 28-5284       100
ELAN PLC                     ADR            284131208         54,022       5,063       X        28-5284      5063
                                                               6,936         650       X      X 28-5284       650
                                                                 480          45       X        28-11135       45
ELDORADO GOLD CORP NEW       COM            284902103          1,878         300       X      X 28-5284       300
ELECTRO ENERGY INC           COM NEW        285106209             14          80       X      X 28-5284        80
ELECTRO SCIENTIFIC INDS      COM            285229100          3,128         220       X        28-5284                          220
ELECTRONIC ARTS INC          COM            285512109      2,145,309      57,997       X        28-5284     52487               5510
                                                           1,165,666      31,513       X      X 28-5284     22210      575      8728
                                                                 740          20       X        28-11135       20
                                                              59,184       1,600       X        28-4580      1600
ELIXIR GAMING TECHNOLOGIES I COM            28661G105         78,674     238,407       X        28-5284    238407
EMBARQ CORP                  COM            29078E105         85,155       2,100       X        28-5284      2047                 53
                                                             413,529      10,198       X      X 28-5284      9635      251       312
EMBRAER-EMPRESA BRASILEIRA D SP ADR COM SHS 29081M102            459          17       X        28-5284        17
                                                              78,329       2,900       X      X 28-5284      2900
                                                                 243           9       X        28-11135        9
EMCOR GROUP INC              COM            29084Q100         15,266         580       X        28-5284                          580
                                                             364,295      13,841       X        28-11135    13841
EMCORE CORP                  COM            290846104          3,458         700       X        28-5284       700
                                                               9,880       2,000       X      X 28-5284      2000
EMERGING MKTS TELECOMNC FD N COM            290890102         10,586         699       X        28-5284       699
                                                               3,014         199       X      X 28-5284       199
   COLUMN TOTAL                                            4,844,311







                                                                                                                    FILE NO. 28-1235
PAGE  74 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
EMERSON ELEC CO              COM            291011104     69,624,451   1,706,900       X        28-5284   1625195              81705
                                                          65,315,518   1,601,263       X      X 28-5284   1475891    14070    111302
                                                             249,349       6,113       X        28-11135     6113
                                                           1,403,135      34,399       X        28-4580     32599               1800
                                                           1,674,389      41,049       X      X 28-4580     39631     1418
EMERSON RADIO CORP           COM NEW        291087203        889,833   1,046,862       X      X 28-5284            1046862
EMPIRE DIST ELEC CO          COM            291641108         19,215         900       X      X 28-5284       800                100
EMPLOYERS HOLDINGS INC       COM            292218104          1,321          76       X        28-5284        76
EMULEX CORP                  COM NEW        292475209          3,201         300       X      X 28-5284                          300
ENBRIDGE INC                 COM            29250N105         57,135       1,500       X      X 28-5284      1500
ENBRIDGE ENERGY PARTNERS L P COM            29250R106        935,626      23,520       X        28-5284     23520
                                                           2,148,120      54,000       X      X 28-5284     53300                700
ENBRIDGE ENERGY MANAGEMENT L SHS UNITS LLI  29250X103          3,475          83       X      X 28-5284        83
ENCANA CORP                  COM            292505104        355,862       5,414       X        28-5284      5414
                                                           2,005,159      30,506       X      X 28-5284     23906               6600
                                                               5,653          86       X        28-11135       86
                                                             147,761       2,248       X      X 28-4580      2248
ENCORE ACQUISITION CO        COM            29255W100          1,588          38       X        28-11135       38
ENCORE WIRE CORP             COM            292562105          5,433         300       X        28-5284       300
ENCORE ENERGY PARTNERS LP    COM UNIT       29257A106          6,549         300       X      X 28-5284       300
ENDO PHARMACEUTICALS HLDGS I COM            29264F205          9,300         465       X        28-5284       465
                                                              10,000         500       X      X 28-5284       500
ENERGEN CORP                 COM            29265N108         83,315       1,840       X        28-5284      1840
                                                               6,792         150       X      X 28-5284       150
                                                             202,583       4,474       X        28-11135     4474
ENERGY CONVERSION DEVICES IN COM            292659109         11,650         200       X        28-5284       200
ENERGIZER HLDGS INC          COM            29266R108        137,982       1,713       X        28-5284      1713
                                                             857,858      10,650       X      X 28-5284     10650
   COLUMN TOTAL                                          146,172,253







                                                                                                                    FILE NO. 28-1235
PAGE  75 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
ENERGY TRANSFER PRTNRS L P   UNIT LTD PARTN 29273R109        185,992       5,050       X        28-5284      5050
                                                              93,917       2,550       X      X 28-5284      2550
                                                               6,187         168       X        28-11135      168
ENERPLUS RES FD              UNIT TR G NEW  29274D604        750,048      20,168       X        28-5284     10718               9450
                                                           1,192,869      32,075       X      X 28-5284     32075
ENERSIS S A                  SPONSORED ADR  29274F104         16,320       1,000       X      X 28-5284      1000
                                                             167,802      10,282       X        28-11135    10282
ENERGYSOLUTIONS INC          DEPOSITARY SH  292756202         20,000       2,000       X      X 28-5284      2000
ENERGYSOUTH INC              COM            292970100         24,572         400       X        28-5284       400
ENNIS INC                    COM            293389102          3,092         200       X        28-5284       200
ENOVA SYSTEMS INC            COM NEW        29355M200          3,315       1,500       X        28-5284      1500
ENTEGRIS INC                 COM            29362U104          7,880       1,628       X      X 28-5284      1628
ENTERCOM COMMUNICATIONS CORP CL A           293639100          1,270         253       X        28-5284       253
ENTERGY CORP NEW             COM            29364G103      8,966,066     100,731       X        28-5284     95974               4757
                                                           6,353,000      71,374       X      X 28-5284     70887                487
                                                             155,768       1,750       X        28-4580      1750
                                                              82,334         925       X      X 28-4580        75                850
ENTERPRISE GP HLDGS L P      UNIT LP INT    293716106         35,295       1,500       X      X 28-5284      1500
ENTERPRISE PRODS PARTNERS L  COM            293792107        218,890       8,494       X        28-5284      6694               1800
                                                             962,535      37,351       X      X 28-5284     30801     5250      1300
                                                              10,669         414       X        28-11135      414
ENTERTAINMENT PPTYS TR       COM SH BEN INT 29380T105        508,349       9,290       X        28-5284      9290
                                                             591,742      10,814       X      X 28-5284     10814
                                                               1,149          21       X        28-11135       21
ENTERRA ENERGY TR            TR UNIT        29381P102          6,300       2,800       X      X 28-5284      2800
ENTREMED INC                 COM            29382F103            370       1,000       X      X 28-5284                         1000
ENZO BIOCHEM INC             COM            294100102          2,734         249       X        28-5284                          249
   COLUMN TOTAL                                           20,368,465







                                                                                                                    FILE NO. 28-1235
PAGE  76 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
EPICOR SOFTWARE CORP         COM            29426L108          1,002         127       X        28-5284       127
EQUIFAX INC                  COM            294429105        366,893      10,650       X        28-5284     10650
                                                             288,519       8,375       X      X 28-5284      6875               1500
EQUINIX INC                  COM NEW        29444U502          1,389          20       X        28-5284                           20
EQUITABLE RES INC            COM            294549100     55,632,776   1,516,706       X        28-5284    521716             994990
                                                           4,167,472     113,617       X      X 28-5284    105393      115      8109
                                                              12,068         329       X        28-11135      329
                                                              78,092       2,129       X      X 28-4580      2129
EQUITY MEDIA HLDGS CORP      COM            294725106        247,500     450,000       X      X 28-5284             450000
EQUITY MEDIA HLDGS CORP      *W EXP 08/26/2 294725114            152       7,587       X      X 28-5284               7587
EQUITY ONE                   COM            294752100         40,263       1,965       X        28-5284      1965
                                                              13,831         675       X      X 28-5284       675
EQUITY RESIDENTIAL           SH BEN INT     29476L107        691,197      15,564       X        28-5284     15164                400
                                                             331,743       7,470       X      X 28-5284      5270               2200
                                                                 222           5       X        28-11135        5
EQUITY RESIDENTIAL           PFD CONV E 7%  29476L883         14,700         300       X      X 28-5284       300
ERICSSON L M TEL CO          ADR B SEK 10   294821608         22,896       2,428       X        28-5284      2428
                                                               4,489         476       X      X 28-5284       476
                                                               2,009         213       X        28-11135      213
ERIE INDTY CO                CL A           29530P102      3,841,498      90,880       X        28-5284     90880
                                                             562,825      13,315       X      X 28-5284     13315
ESCO TECHNOLOGIES INC        COM            296315104         14,451         300       X        28-5284       300
                                                              38,536         800       X      X 28-5284       800
ESPEY MFG & ELECTRS CORP     COM            296650104         42,205       2,300       X        28-5284      2300
ESSA BANCORP INC             COM            29667D104        215,450      15,500       X        28-5284     15500
ESSEX PPTY TR INC            COM            297178105        448,471       3,790       X        28-5284      3790
                                                              31,712         268       X      X 28-5284       268
   COLUMN TOTAL                                           67,112,361







                                                                                                                    FILE NO. 28-1235
PAGE  77 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
ESTERLINE TECHNOLOGIES CORP  COM            297425100         29,297         740       X        28-5284       500                240
                                                             157,727       3,984       X      X 28-5284      3984
                                                               2,692          68       X        28-11135       68
ETABLISSEMENTS DELHAIZE FRER SPONSORED ADR  29759W101         55,618         954       X        28-5284       954
ETHAN ALLEN INTERIORS INC    COM            297602104          6,725         240       X        28-5284                          240
                                                               8,406         300       X      X 28-5284       300
                                                             275,493       9,832       X        28-11135     9832
                                                              33,624       1,200       X        28-4580      1200
EURONET WORLDWIDE INC        COM            298736109         20,076       1,200       X      X 28-5284      1200
EVERGREEN INCOME ADVANTAGE F COM SHS        30023Y105         35,015       4,700       X      X 28-5284      3500               1200
EVERGREEN MULTI SECT INC FUN COM SHS        30024Y104        243,295      19,700       X      X 28-5284                        19700
EVERGREEN SOLAR INC          COM            30033R108         10,891       1,973       X      X 28-5284      1973
EVOLVING SYS INC             COM            30049R100         68,610      44,552       X      X 28-5284              44552
EVOTEC AG                    SPONSORED ADS  30050E105          9,197       3,227       X      X 28-5284               3227
EXACT SCIENCES CORP          COM            30063P105            435         500       X        28-5284       500
EXAR CORP                    COM            300645108          2,298         300       X        28-5284                          300
EXELON CORP                  COM            30161N101     45,458,676     725,945       X        28-5284    704519              21426
                                                          36,557,619     583,801       X      X 28-5284    543670     6830     33301
                                                               6,951         111       X        28-11135      111
                                                           1,629,059      26,015       X        28-4580     25470                545
                                                           1,362,924      21,765       X      X 28-4580     21765
EXLSERVICE HOLDINGS INC      COM            302081104          3,512         400       X        28-5284       400
EXPEDIA INC DEL              COM            30212P105          3,702         245       X        28-5284       245
EXPEDITORS INTL WASH INC     COM            302130109        788,638      22,636       X        28-5284     19848               2788
                                                           1,277,757      36,675       X      X 28-5284     17925              18750
                                                              29,405         844       X        28-11135      844
                                                              36,234       1,040       X      X 28-4580      1040
   COLUMN TOTAL                                           88,113,876







                                                                                                                    FILE NO. 28-1235
PAGE  78 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
EXPRESSJET HOLDINGS INC      CL A           30218U108            190       1,000       X      X 28-5284      1000
EXPRESS SCRIPTS INC          COM            302182100        564,428       7,646       X        28-5284      6159               1487
                                                             359,799       4,874       X      X 28-5284      4874
                                                             810,101      10,974       X        28-11135    10974
EXTRA SPACE STORAGE INC      COM            30225T102            876          57       X        28-5284        57
EXTERRAN HLDGS INC           COM            30225X103         16,204         507       X        28-5284       507
EXXON MOBIL CORP             COM            30231G102    627,254,850   8,076,936       X        28-5284   7768150      960    307826
                                                         730,147,749   9,401,851       X      X 28-5284   8467123    53642    881086
                                                             273,907       3,527       X        28-11135     3527
                                                          20,347,308     262,005       X        28-4580    259457               2548
                                                          57,616,575     741,908       X      X 28-4580    736123     1000      4785
FBL FINL GROUP INC           CL A           30239F106         14,419         517       X        28-5284        49                468
FLIR SYS INC                 COM            302445101         85,561       2,227       X        28-5284      2227
                                                           1,899,869      49,450       X      X 28-5284     35450              14000
                                                             325,686       8,477       X        28-11135     8477
FMC TECHNOLOGIES INC         COM            30249U101      1,350,229      29,006       X        28-5284     26711               2295
                                                              95,707       2,056       X      X 28-5284      2056
                                                             289,494       6,219       X        28-11135     6219
F M C CORP                   COM NEW        302491303         23,023         448       X        28-5284       448
                                                              50,876         990       X      X 28-5284       990
FNB CORP PA                  COM            302520101        916,821      57,373       X        28-5284     57373
                                                             685,734      42,912       X      X 28-5284     28651     4845      9416
FPIC INS GROUP INC           COM            302563101         67,732       1,318       X        28-11135     1318
FPL GROUP INC                COM            302571104     37,564,694     746,813       X        28-5284    732148              14665
                                                          40,545,925     806,082       X      X 28-5284    772123     6920     27039
                                                             117,601       2,338       X        28-11135     2338
                                                           1,329,982      26,441       X        28-4580     26441
                                                           1,066,863      21,210       X      X 28-4580     19210               2000
FX ENERGY INC                COM            302695101         44,640       6,000       X        28-4580      6000
   COLUMN TOTAL                                        1,523,866,843







                                                                                                                    FILE NO. 28-1235
PAGE  79 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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     20,354,876     389,567       X        28-5284    370279              19288
                                                           9,826,553     188,068       X      X 28-5284    178944     3046      6078
                                                             517,589       9,906       X        28-4580      9744                162
                                                             120,018       2,297       X      X 28-4580      2297
FAIR ISAAC CORP              COM            303250104        140,213       6,083       X        28-5284      6083
                                                              61,083       2,650       X      X 28-5284      1150               1500
                                                             193,413       8,391       X        28-11135     8391
FAIRCHILD SEMICONDUCTOR INTL COM            303726103         23,114       2,600       X      X 28-5284      2600
FAIRPOINT COMMUNICATIONS INC COM            305560104        134,784      15,546       X        28-5284     15097                449
                                                             194,780      22,466       X      X 28-5284     20956      172      1338
                                                                 486          56       X        28-11135       56
                                                               1,734         200       X        28-4580       199                  1
                                                              10,846       1,251       X      X 28-4580      1237       11         3
FAMILY DLR STORES INC        COM            307000109        210,338       8,875       X        28-5284      5575               3300
                                                              97,170       4,100       X      X 28-5284      4100
FASTENAL CO                  COM            311900104        479,478       9,708       X        28-5284      9608                100
                                                           4,624,139      93,625       X      X 28-5284     30050              63575
FAUQUIER BANKSHARES INC VA   COM            312059108        230,880      15,600       X      X 28-5284     15600
FEDERAL HOME LN MTG CORP     COM            313400301         11,799       6,900       X        28-5284      6900
                                                               9,974       5,833       X      X 28-5284      2235               3598
                                                                 342         200       X        28-4580       200
FEDERAL MOGUL CORP           COM            313549404        558,864      44,531       X      X 28-5284              44531
FEDERAL NATL MTG ASSN        COM            313586109         12,529       8,189       X        28-5284      8189
                                                              31,949      20,882       X      X 28-5284     20482                400
                                                                 390         255       X        28-11135      255
                                                               1,224         800       X        28-4580       800
                                                                   6           4       X                        4
FEDERAL REALTY INVT TR       SH BEN INT NEW 313747206      1,513,494      17,681       X        28-5284     17681
                                                           2,386,785      27,883       X      X 28-5284     26983                900
FEDERATED INVS INC PA        CL B           314211103         22,561         782       X        28-5284       782
                                                               4,328         150       X      X 28-5284       150
   COLUMN TOTAL                                           41,775,739








                                                                                                                    FILE NO. 28-1235
PAGE  80 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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 PREM MUN INC FD    COM            31423P108        139,196      13,410       X        28-5284     13410
                                                              16,369       1,577       X      X 28-5284      1577
FEDEX CORP                   COM            31428X106      5,491,778      69,481       X        28-5284     58869              10612
                                                           1,555,507      19,680       X      X 28-5284     14151               5529
                                                              91,844       1,162       X        28-11135     1162
                                                             242,890       3,073       X        28-4580      3073
                                                              25,767         326       X      X 28-4580       326
FELCOR LODGING TR INC        COM            31430F101        114,846      16,040       X        28-5284     16040
                                                               6,874         960       X      X 28-5284       960
FELCOR LODGING TR INC        PFD CV A $1.95 31430F200         12,250       1,000       X      X 28-5284      1000
FERRELLGAS PARTNERS L.P.     UNIT LTD PART  315293100         21,960       1,200       X        28-5284      1200
                                                               3,660         200       X      X 28-5284       200
F5 NETWORKS INC              COM            315616102            818          35       X        28-5284        35
                                                              18,704         800       X      X 28-5284       800
FIBERTOWER CORP              NOTE  9.000%11 31567RAC4    112,000,000   2,000,000       X      X 28-5284            2000000
FIDELITY BANCORP INC         COM            315831107         17,825       1,426       X        28-5284      1426
FIDELITY NATL INFORMATION SV COM            31620M106         77,772       4,213       X        28-5284      4213
                                                           1,666,550      90,279       X      X 28-5284     90279
FIDELITY NATIONAL FINANCIAL  CL A           31620R105      2,363,760     160,800       X        28-5284    145523              15277
                                                           2,964,431     201,662       X      X 28-5284    197372               4290
FIFTH THIRD BANCORP          COM            316773100      3,222,508     270,799       X        28-5284    253499              17300
                                                           2,114,820     177,716       X      X 28-5284    176616               1100
FINANCIAL FED CORP           COM            317492106          5,042         220       X        28-5284                          220
                                                              52,326       2,283       X        28-11135     2283
FINANCIAL INSTNS INC         COM            317585404        852,426      42,600       X        28-1500     42600
FINISAR                      COM            31787A101     15,903,042  15,745,586       X        28-5284  15745586
FINISH LINE INC              CL A           317923100            839          84       X      X 28-5284        84
FIRST AMERN CORP CALIF       COM            318522307        156,852       5,317       X        28-5284      4977                340
   COLUMN TOTAL                                          149,140,656








                                                                                                                    FILE NO. 28-1235
PAGE  81 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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 BANCORP INC ME         COM            31866P102         51,960       2,651       X        28-5284      2651
FIRST BANCORP P R            COM            318672102          6,415         580       X        28-5284                          580
                                                                 730          66       X        28-11135       66
FIRST CASH FINL SVCS INC     COM            31942D107         24,315       1,621       X      X 28-5284      1621
FIRST CTZNS BANCSHARES INC N CL A           31946M103        138,367         773       X        28-5284       773
FIRST COMWLTH FINL CORP PA   COM            319829107        475,895      35,330       X        28-5284     35330
                                                             327,941      24,346       X      X 28-5284     20196               4150
FIRST FINL FD INC            COM            320228109          6,402         839       X      X 28-5284       839
FIRST FRANKLIN CORP          COM            320272107        105,788      16,275       X        28-5284                        16275
                                                              78,000      12,000       X      X 28-5284     12000
FIRST HORIZON NATL CORP      COM            320517105        213,380      22,797       X        28-5284     22797
                                                              11,232       1,200       X      X 28-5284      1200
FIRST INDUSTRIAL REALTY TRUS COM            32054K103         57,647       2,010       X        28-5284      2010
                                                             237,184       8,270       X      X 28-5284      8270
FIRST ISRAEL FD INC          COM            32063L100         45,804       3,650       X        28-5284       400               3250
FIRST MARBLEHEAD CORP        COM            320771108         12,425       4,990       X        28-5284                         4990
FIRST MARINER BANCORP        COM            320795107          7,900       5,000       X      X 28-5284                         5000
FIRST MIDWEST BANCORP DEL    COM            320867104          9,938         410       X        28-5284                          410
FIRST PACTRUST BANCORP INC   COM            33589V101          4,160         325       X        28-5284       325
FIRST POTOMAC RLTY TR        COM            33610F109         30,942       1,800       X        28-5284      1800
                                                              17,190       1,000       X      X 28-5284      1000
FIRST REGL BANCORP           COM            33615C101        366,250      58,600       X        28-1500     58600
FIRST SOLAR INC              COM            336433107         49,117         260       X        28-5284       260
                                                             131,859         698       X      X 28-5284       323                375
                                                               1,700           9       X        28-11135        9
FIRST TR MORNINGSTAR DIV LEA SHS            336917109         10,364         650       X      X 28-4580       650
   COLUMN TOTAL                                            2,422,905








                                                                                                                    FILE NO. 28-1235
PAGE  82 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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         25,375       2,500       X        28-5284      2500
FIRST TR/FOUR CRNRS SR FLOAT COM            33733U108          7,315         700       X        28-5284       700
                                                              11,443       1,095       X      X 28-5284      1095
FIRST TRUST FIDAC MTG INCM F COM SHS        33734E103        391,104      25,200       X      X 28-5284                        25200
FIRST TR VALUE LINE DIVID IN SHS            33734H106        163,084      11,699       X        28-5284     11699
FIRST TR ISE GLB WIND ENRG E COM SHS        33736G106            771          40       X        28-5284        40
FIRST UTD CORP               COM            33741H107          9,950         500       X        28-5284       500
                                                             805,950      40,500       X        28-1500     40500
FIRSTSERVICE CORP            SUB VTG SH     33761N109         32,164       2,200       X      X 28-5284      2200
FIRSTCITY FINL CORP          COM            33761X107         26,650       5,000       X        28-4580                         5000
FISERV INC                   COM            337738108        982,884      20,771       X        28-5284     20456                315
                                                           1,609,968      34,023       X      X 28-5284     21262              12761
                                                              17,130         362       X        28-11135      362
                                                              37,856         800       X        28-4580       800
FIRSTFED FINL CORP           COM            337907109          1,019         130       X        28-5284                          130
FIRSTMERIT CORP              COM            337915102      1,062,600      50,600       X        28-5284     50600
FLAGSTAR BANCORP INC         COM            337930101          4,169       1,399       X        28-5284      1399
FIRSTENERGY CORP             COM            337932107     29,175,887     435,526       X        28-5284    414503              21023
                                                          10,687,920     159,545       X      X 28-5284    145559     2767     11219
                                                             462,901       6,910       X        28-4580      6910
                                                             385,193       5,750       X      X 28-4580      5750
FIVE STAR QUALITY CARE INC   COM            33832D106             45          12       X        28-5284        12
                                                               5,625       1,500       X      X 28-5284      1500
FLAHERTY & CRMN/CLYMR PFD SE COM SHS        338478100         15,220       2,000       X      X 28-5284      2000
FLAHERTY & CRUMRINE PFD INC  COM            33848E106         16,711       4,056       X        28-5284      4056
FLAHERTY & CRUMRINE PFD INC  COM            338480106          5,508         900       X      X 28-5284       900
   COLUMN TOTAL                                           45,944,442








                                                                                                                    FILE NO. 28-1235
PAGE  83 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
FLEETWOOD ENTERPRISES INC    COM            339099103            418         410       X        28-5284                          410
FLUOR CORP NEW               COM            343412102        245,637       4,410       X        28-5284      3430                980
                                                             582,956      10,466       X      X 28-5284      8816               1650
                                                                 891          16       X        28-11135       16
                                                             111,400       2,000       X        28-4580      2000
                                                              25,065         450       X      X 28-4580       450
FLOWERS FOODS INC            COM            343498101         17,851         608       X        28-11135      608
FLOWSERVE CORP               COM            34354P105         19,086         215       X        28-5284       215
                                                           1,300,658      14,652       X      X 28-5284     14652
                                                             185,263       2,087       X        28-11135     2087
FOCUS MEDIA HLDG LTD         SPONSORED ADR  34415V109          1,682          59       X        28-5284        59
                                                              59,871       2,100       X      X 28-5284      2100
FOMENTO ECONOMICO MEXICANO S SPON ADR UNITS 344419106         12,968         340       X        28-5284       340
FOOT LOCKER INC              COM            344849104          2,586         160       X        28-5284       160
                                                             353,096      21,850       X      X 28-5284     21850
FORCE PROTECTION INC         COM NEW        345203202          1,340         500       X        28-5284       500
                                                               3,216       1,200       X      X 28-5284       200               1000
FORD MTR CO DEL              COM PAR $0.01  345370860        134,576      25,880       X        28-5284     19020               6860
                                                             388,034      74,622       X      X 28-5284     61882              12740
                                                              36,260       6,973       X        28-4580      6973
                                                               5,720       1,100       X      X 28-4580       100               1000
FORD MTR CO CAP TR II        PFD TR CV6.5%  345395206         20,174       1,310       X        28-5284      1310
                                                               9,702         630       X      X 28-5284       280                350
FORDING CDN COAL TR          TR UNIT        345425102         33,615         405       X        28-5284       605               200-
                                                             415,000       5,000       X      X 28-5284      5000
FOREST CITY ENTERPRISES INC  CL A           345550107      1,740,523      56,750       X      X 28-5284     56000                750
                                                              39,871       1,300       X        28-4580                         1300
FOREST LABS INC              COM            345838106        338,314      11,963       X        28-5284      6142               5821
                                                             262,863       9,295       X      X 28-5284      9295
                                                              22,341         790       X        28-11135      790
   COLUMN TOTAL                                            6,370,977








                                                                                                                    FILE NO. 28-1235
PAGE  84 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
FOREST OIL CORP              COM PAR $0.01  346091705      1,225,120      24,700       X      X 28-5284     24700
FORESTAR REAL ESTATE GROUP I COM            346233109         10,989         745       X        28-5284       745
FORMFACTOR INC               COM            346375108         64,454       3,700       X      X 28-5284      3700
FORT DEARBORN INCOME SECS IN COM            347200107         19,380       1,500       X      X 28-5284                         1500
FORTRESS INTL GROUP INC      *W EXP 07/12/2 34958D110          5,730     286,506       X      X 28-5284             286506
FORTUNE BRANDS INC           COM            349631101     12,799,138     223,137       X        28-5284    216697       90      6350
                                                          11,260,686     196,316       X      X 28-5284    189003      450      6863
                                                             210,167       3,664       X        28-11135     3664
                                                              34,416         600       X        28-4580       600
                                                             214,354       3,737       X      X 28-4580      3737
40 / 86 STRATEGIC INCOME FD  SH BEN INT     349739102         38,500       5,500       X      X 28-5284                         5500
FORWARD AIR CORP             COM            349853101          6,944         255       X        28-5284                          255
                                                             442,460      16,249       X        28-11135    16249
FOSSIL INC                   COM            349882100         66,341       2,350       X        28-5284                         2350
                                                             414,416      14,680       X      X 28-5284     14680
FOUNDATION COAL HLDGS INC    COM            35039W100         10,674         300       X        28-5284       300
FOUNDRY NETWORKS INC         COM            35063R100         19,394       1,065       X        28-5284      1065
4 KIDS ENTMT INC             COM            350865101            635          90       X        28-5284                           90
FRANCE TELECOM               SPONSORED ADR  35177Q105         56,496       2,017       X        28-5284      2017
                                                               2,073          74       X      X 28-5284        74
FRANKLIN CR MGMT CORP        COM NEW        353487200            126         300       X        28-5284       300
FRANKLIN ELEC INC            COM            353514102          1,381          31       X        28-5284        31
FRANKLIN RES INC             COM            354613101     28,359,000     321,786       X        28-5284    301622              20164
                                                          11,869,525     134,682       X      X 28-5284    123951     1953      8778
                                                              17,273         196       X        28-11135      196
                                                             526,929       5,979       X        28-4580      5899                 80
                                                              54,641         620       X      X 28-4580       620
   COLUMN TOTAL                                           67,731,242








                                                                                                                    FILE NO. 28-1235
PAGE  85 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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 STREET PPTYS CORP   COM            35471R106         23,400       1,800       X      X 28-5284      1800
FRANKLIN TEMPLETON LTD DUR I COM            35472T101         57,684       6,900       X      X 28-5284      1000               5900
FREDS INC                    CL A           356108100          4,408         310       X        28-5284                          310
FREEPORT-MCMORAN COPPER & GO PFD CONV       35671D782          7,642          90       X      X 28-5284        90
                                                           2,122,750      25,000       X        28-11439    25000
FREEPORT-MCMORAN COPPER & GO COM            35671D857      2,758,817      48,528       X        28-5284     39089               9439
                                                           1,910,672      33,609       X      X 28-5284     30887      320      2402
                                                             594,708      10,461       X        28-11135    10461
                                                              80,670       1,419       X        28-4580      1419
                                                             305,626       5,376       X      X 28-4580      5376
FRESENIUS KABI PHARMACEUTHLD RIGHT 99/99/99 35802M115            195         300       X      X 28-5284       300
FRESENIUS MED CARE AG&CO KGA SPONSORED ADR  358029106         34,021         655       X        28-5284       655
                                                              55,576       1,070       X      X 28-5284       870                200
FRIEDMAN BILLINGS RAMSEY GRO CL A           358434108            900         450       X        28-5284       450
FRONTIER COMMUNICATIONS CORP COM            35906A108        274,068      23,832       X        28-5284     23832
                                                             485,772      42,241       X      X 28-5284     30241              12000
                                                              75,314       6,549       X      X 28-4580      6549
FRONTIER FINL CORP WASH      COM            35907K105          1,195          89       X        28-5284        89
FRONTIER OIL CORP            COM            35914P105         11,052         600       X        28-5284       600
                                                              20,262       1,100       X      X 28-5284      1100
FUELCELL ENERGY INC          COM            35952H106         60,252       9,992       X      X 28-5284      9992
FUEL TECH INC                COM            359523107          3,618         200       X        28-5284       200
                                                               1,809         100       X      X 28-5284       100
FUJIFILM HLDGS CORP          ADR 2 ORD      35958N107         19,433         748       X        28-5284       748
FULLER H B CO                COM            359694106         37,566       1,800       X        28-5284      1800
                                                              47,792       2,290       X        28-11135     2290
   COLUMN TOTAL                                            8,995,202








                                                                                                                    FILE NO. 28-1235
PAGE  86 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
FULTON FINL CORP PA          COM            360271100      1,954,068     179,108       X        28-5284    177451               1657
                                                           2,404,957     220,436       X      X 28-5284    157185              63251
                                                              31,563       2,893       X        28-4580      2893
FURNITURE BRANDS INTL INC    COM            360921100         27,036       2,570       X        28-5284      2550                 20
                                                                 642          61       X        28-11135       61
G & K SVCS INC               CL A           361268105         43,593       1,319       X        28-5284      1000                319
                                                             105,760       3,200       X      X 28-5284      3200
GAMCO INVESTORS INC          COM            361438104          1,186          20       X        28-5284        20
GATX CORP                    COM            361448103         55,200       1,395       X        28-5284                         1395
                                                              28,253         714       X      X 28-5284       714
                                                              10,882         275       X        28-11135      275
GP STRATEGIES CORP           COM            36225V104          4,750         625       X        28-5284       625
GSE SYS INC                  COM            36227K106          7,000       1,000       X      X 28-5284      1000
GSI COMMERCE INC             COM            36238G102          3,452         223       X        28-11135      223
GABELLI GLOBAL MULTIMEDIA TR COM            36239Q109        292,175      40,300       X      X 28-5284              40300
GABELLI EQUITY TR INC        COM            362397101      1,113,858     161,663       X      X 28-5284     10500             151163
GABELLI UTIL TR              COM            36240A101        608,012      66,668       X      X 28-5284                        66668
GSI TECHNOLOGY               COM            36241U106        449,629     124,897       X      X 28-5284             124897
GABELLI DIVD & INCOME TR     COM            36242H104         52,860       3,836       X        28-5284      3836
                                                              37,206       2,700       X      X 28-5284      2700
GABELLI GLOBAL DEAL FD       COM SBI        36245G103         14,020       1,000       X        28-5284      1000
GAIAM INC                    CL A           36268Q103            371          35       X        28-5284        35
                                                              21,200       2,000       X      X 28-5284      2000
GALLAGHER ARTHUR J & CO      COM            363576109         19,450         758       X        28-5284       478                280
                                                              21,760         848       X      X 28-5284       848
   COLUMN TOTAL                                            7,308,883








                                                                                                                    FILE NO. 28-1235
PAGE  87 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
GAMESTOP CORP NEW            CL A           36467W109      3,854,030     112,658       X        28-5284    110676               1982
                                                           1,815,217      53,061       X      X 28-5284     53061
                                                             893,463      26,117       X        28-11135    26117
                                                              12,658         370       X        28-4580       370
GANDER MOUNTAIN CO           COM            36471P108          4,401       1,346       X        28-5284      1346
GANNETT INC                  COM            364730101      2,865,772     169,472       X        28-5284    157422              12050
                                                           2,314,945     136,898       X      X 28-5284    125129     1860      9909
                                                               6,155         364       X        28-11135      364
                                                               2,537         150       X        28-4580       150
GAP INC DEL                  COM            364760108        459,933      25,868       X        28-5284     15678              10190
                                                             170,955       9,615       X      X 28-5284      4931     2000      2684
                                                             807,959      45,442       X        28-11135    45442
GARDNER DENVER INC           COM            365558105         20,485         590       X        28-5284       150                440
                                                               4,166         120       X        28-11135      120
GARTNER INC                  COM            366651107         39,803       1,755       X        28-5284      1755
                                                               4,128         182       X      X 28-5284       182
GATEHOUSE MEDIA INC          COM            367348109            519       1,059       X        28-5284      1059
GAYLORD ENTMT CO NEW         COM            367905106          2,173          74       X        28-5284                           74
GATEWAY FINL HLDGS INC       COM            368140109        697,640     130,400       X        28-1500    130400
GEN-PROBE INC NEW            COM            36866T103          3,660          69       X        28-5284        69
                                                              31,830         600       X      X 28-5284       600
GENAERA CORP                 COM NEW        36867G209         67,950     135,899       X      X 28-5284             135899
GENCOR INDS INC              COM            368678108      3,823,658     473,225       X      X 28-5284             473225
GENCORP INC                  COM            368682100          2,629         390       X        28-5284                          390
GENENTECH INC                COM NEW        368710406      3,395,557      38,290       X        28-5284     35265               3025
                                                           2,131,779      24,039       X      X 28-5284     18529      275      5235
                                                             759,988       8,570       X        28-11135     8570
                                                             243,870       2,750       X        28-4580      2430                320
                                                              26,604         300       X      X 28-4580       300
   COLUMN TOTAL                                           24,464,464








                                                                                                                    FILE NO. 28-1235
PAGE  88 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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 AMERN INVS INC       COM            368802104         29,518       1,141       X        28-5284                         1141
                                                              52,180       2,017       X      X 28-5284      2017
GENERAL CABLE CORP DEL NEW   COM            369300108         26,758         751       X        28-5284       651                100
                                                              17,815         500       X      X 28-5284                          500
                                                                 641          18       X        28-11135       18
GENERAL COMMUNICATION INC    CL A           369385109          2,778         300       X        28-5284                          300
GENERAL DYNAMICS CORP        COM            369550108     37,597,881     510,702       X        28-5284    482209              28493
                                                          22,227,424     301,921       X      X 28-5284    282542     2167     17212
                                                              75,608       1,027       X        28-11135     1027
                                                             605,745       8,228       X        28-4580      7921                307
                                                             321,278       4,364       X      X 28-4580      4257                107
GENERAL ELECTRIC CO          COM            369604103    316,344,101  12,405,651       X        28-5284  11857390     3893    544368
                                                         386,548,380  15,158,760       X      X 28-5284  14038120    39350   1081290
                                                             874,625      34,299       X        28-11135    34299
                                                          10,009,719     392,538       X        28-4580    388516               4022
                                                          10,813,020     424,040       X      X 28-4580    420188     3000       852
GENERAL EMPLOYMENT ENTERPRIS COM            369730106            900       2,000       X      X 28-5284               2000
GENERAL GROWTH PPTYS INC     COM            370021107        737,862      48,865       X        28-5284     46125               2740
                                                              83,382       5,522       X      X 28-5284      5322                200
GENERAL MLS INC              COM            370334104     24,648,627     358,682       X        28-5284    331674              27008
                                                          32,913,513     478,951       X      X 28-5284    430715     1605     46631
                                                             347,242       5,053       X        28-11135     5053
                                                             630,025       9,168       X        28-4580      8768                400
                                                             248,629       3,618       X      X 28-4580      3618
GENERAL MTRS CORP            COM            370442105        289,104      30,593       X        28-5284     26773      900      2920
                                                             349,934      37,030       X      X 28-5284     24275              12755
                                                               2,759         292       X        28-4580       292
                                                               3,808         403       X      X 28-4580       403
GENERAL MTRS CORP            SENIOR DEBEN D 370442691        157,950       7,800       X      X 28-5284               7800
GENERAL MTRS CORP            DEB SR CONV A  370442741        405,102      32,100       X      X 28-5284              32100
GENESCO INC                  COM            371532102          5,357         160       X        28-5284                          160
                                                               8,370         250       X      X 28-5284       250
   COLUMN TOTAL                                          846,380,035








                                                                                                                    FILE NO. 28-1235
PAGE  89 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
GENESEE & WYO INC            CL A           371559105          7,504         200       X        28-5284       200
                                                             288,904       7,700       X      X 28-5284       200               7500
                                                               2,589          69       X        28-11135       69
GENESIS LEASE LTD            ADR            37183T107         13,110       1,500       X      X 28-5284                         1500
GENTEX CORP                  COM            371901109         62,634       4,380       X        28-5284      1800               2580
                                                              40,040       2,800       X      X 28-5284      2800
                                                             262,176      18,334       X        28-11135    18334
GENESIS ENERGY L P           UNIT LTD PARTN 371927104          7,145         500       X        28-5284       500
                                                             142,900      10,000       X      X 28-5284     10000
GENOMIC HEALTH INC           COM            37244C101        294,450      13,000       X        28-5284     13000
GENTEK INC                   COM NEW        37245X203             77           3       X        28-5284         3
GENUINE PARTS CO             COM            372460105        854,141      21,242       X        28-5284     20542                700
                                                           2,628,689      65,374       X      X 28-5284     57037               8337
                                                               3,699          92       X        28-11135       92
                                                             265,386       6,600       X        28-4580      6600
GENWORTH FINL INC            COM CL A       37247D106        118,267      13,736       X        28-5284      4356               9380
                                                              92,127      10,700       X      X 28-5284      5050               5650
                                                               3,237         376       X        28-11135      376
GEOKINETICS INC              COM PAR $0.01  372910307         38,000       2,000       X      X 28-5284      2000
GENZYME CORP                 COM            372917104     23,546,998     291,099       X        28-5284    249594              41505
                                                           9,682,937     119,705       X      X 28-5284     95803      625     23277
                                                               6,876          85       X        28-11135       85
                                                             124,166       1,535       X        28-4580      1355                180
                                                              48,534         600       X      X 28-4580       600
GEORGIA GULF CORP            COM PAR $0.01  373200203            575         230       X        28-5284                          230
                                                                 500         200       X      X 28-5284                          200
GERDAU AMERISTEEL CORP       COM            37373P105         17,220       1,750       X        28-5284      1750
GERBER SCIENTIFIC INC        COM            373730100          1,554         170       X        28-5284                          170
GERDAU S A                   SPONSORED ADR  373737105          3,330         300       X        28-5284       300
                                                             144,300      13,000       X      X 28-5284      8000               5000
   COLUMN TOTAL                                           38,702,065








                                                                                                                    FILE NO. 28-1235
PAGE  90 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
GERON CORP                   COM            374163103          1,975         500       X        28-5284       500
                                                                 790         200       X      X 28-5284       200
GETTY RLTY CORP NEW          COM            374297109          1,685          76       X        28-5284        76
                                                             323,460      14,590       X      X 28-5284     14590
GEVITY HR INC                COM            374393106          1,070         147       X        28-5284       147
GILEAD SCIENCES INC          COM            375558103     27,560,703     604,004       X        28-5284    588081              15923
                                                          21,547,125     472,214       X      X 28-5284    463345      900      7969
                                                             486,370      10,659       X        28-11135    10659
                                                             865,829      18,975       X        28-4580     18333                642
                                                             295,226       6,470       X      X 28-4580      6470
GILDAN ACTIVEWEAR INC        COM            375916103      2,453,224     107,692       X        28-5284     90502              17190
                                                             100,915       4,430       X      X 28-5284      4430
GLACIER BANCORP INC NEW      COM            37637Q105         59,448       2,400       X      X 28-5284      2400
                                                              59,349       2,396       X        28-11135     2396
                                                              41,762       1,686       X      X 28-4580      1686
GLADSTONE COML CORP          COM            376536108         12,216         800       X        28-5284       800
                                                             155,296      10,170       X      X 28-5284     10170
GLADSTONE INVT CORP          COM            376546107          2,064         300       X        28-5284       300
                                                               4,355         633       X        28-11135      633
GLATFELTER                   COM            377316104      2,081,233     153,710       X        28-5284    151510               2200
                                                          21,467,183   1,585,464       X      X 28-5284   1584664      800
GLAXOSMITHKLINE PLC          SPONSORED ADR  37733W105     10,610,498     244,144       X        28-5284    210903              33241
                                                          29,308,033     674,368       X      X 28-5284    631736              42632
                                                             434,687      10,002       X        28-11135    10002
                                                              75,925       1,747       X        28-4580      1747
                                                             284,185       6,539       X      X 28-4580      6539
GLEN BERNIE BANCORP          COM            377407101        100,696      10,886       X                    10886
GLOBALSTAR INC               COM            378973408          1,700       1,000       X      X 28-5284      1000
GLIMCHER RLTY TR             SH BEN INT     379302102         23,960       2,295       X        28-5284      2295
                                                             157,957      15,130       X      X 28-5284     15130
GLOBAL HIGH INCOME FUND INC  COM            37933G108         11,078       1,050       X        28-5284      1050
   COLUMN TOTAL                                          118,529,997








                                                                                                                    FILE NO. 28-1235
PAGE  91 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
GLOBAL INDS LTD              COM            379336100        232,511      33,503       X        28-11135    33503
GLOBAL PMTS INC              COM            37940X102        558,417      12,448       X        28-5284     12448
                                                               5,069         113       X        28-11135      113
GMX RES INC                  COM            38011M108          2,390          50       X      X 28-5284        50
GOL LINHAS AEREAS INTLG S A  SP ADR REP PFD 38045R107          7,800       1,200       X      X 28-5284      1200
GOLD FIELDS LTD NEW          SPONSORED ADR  38059T106         12,467       1,300       X        28-5284                         1300
GOLD RESV INC                NOTE  5.500% 6 38068NAB4        129,000       4,000       X        28-4580      4000
GOLDCORP INC NEW             COM            380956409         43,017       1,360       X        28-5284      1160                200
                                                             134,712       4,259       X      X 28-5284      3259               1000
                                                              94,890       3,000       X        28-4580      3000
GOLDMAN SACHS GROUP INC      COM            38141G104     49,829,120     389,290       X        28-5284    373156              16134
                                                          24,374,400     190,425       X      X 28-5284    180291     2790      7344
                                                             455,552       3,559       X        28-11135     3559
                                                           1,081,088       8,446       X        28-4580      8283                163
                                                             323,328       2,526       X      X 28-4580      2526
GOLF TR AMER INC             COM            38168B103         11,200       8,000       X      X 28-5284               8000
GOODRICH CORP                COM            382388106      9,392,739     225,787       X        28-5284    214610              11177
                                                           4,607,658     110,761       X      X 28-5284     97945     2300     10516
                                                               1,248          30       X        28-11135       30
                                                              85,280       2,050       X        28-4580      2050
                                                              27,040         650       X      X 28-4580       650
GOODRICH PETE CORP           COM NEW        382410405        244,235       5,603       X        28-11135     5603
GOODYEAR TIRE & RUBR CO      COM            382550101         23,639       1,544       X        28-5284      1544
                                                               9,186         600       X      X 28-5284       600
GOOGLE INC                   CL A           38259P508      5,707,833      14,129       X        28-5284     12214               1915
                                                           2,549,114       6,310       X      X 28-5284      5770                540
                                                             906,935       2,245       X        28-11135     2245
GORMAN RUPP CO               COM            383082104        132,661       3,517       X        28-5284      3517
   COLUMN TOTAL                                          100,982,529








                                                                                                                    FILE NO. 28-1235
PAGE  92 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
GRACE W R & CO DEL NEW       COM            38388F108         27,065       1,790       X        28-5284       700               1090
                                                              25,296       1,673       X      X 28-5284       820                853
GRACO INC                    COM            384109104        310,875       8,730       X        28-5284      8580                150
                                                           1,479,239      41,540       X      X 28-5284     16000              25540
GRAINGER W W INC             COM            384802104      2,424,985      27,883       X        28-5284     24333               3550
                                                           2,855,660      32,835       X      X 28-5284     19833      800     12202
                                                              12,350         142       X        28-11135      142
GRAMERCY CAP CORP            COM            384871109         86,788      33,509       X        28-5284     33509
                                                             101,285      39,106       X      X 28-5284     39106
GREAT ATLANTIC & PAC TEA INC COM            390064103          2,056         190       X        28-5284                          190
                                                              22,008       2,034       X      X 28-5284      2012       22
GREAT NORTHN IRON ORE PPTYS  CTFS BEN INT   391064102          6,555          95       X        28-5284        95
GREAT PLAINS ENERGY INC      COM            391164100        470,753      21,186       X        28-5284     13586               7600
                                                             167,761       7,550       X      X 28-5284      7250                300
GREAT WOLF RESORTS INC       COM            391523107            366         100       X      X 28-5284       100
GREATER CHINA FD INC         COM            39167B102         19,679       2,098       X        28-5284      2098
                                                              11,500       1,226       X      X 28-5284      1226
GREEN MTN COFFEE ROASTERS IN COM            393122106        637,308      16,200       X      X 28-5284     16200
GREIF INC                    CL A           397624107         67,851       1,034       X        28-11135     1034
GRIFFON CORP                 COM            398433102          1,822         202       X        28-5284         2                200
                                                              24,805       2,750       X      X 28-5284      2750
GRIFFON CORP                 RIGHT 09/19/20 398433110            193       2,750       X      X 28-5284      2750
GROUP 1 AUTOMOTIVE INC       COM            398905109          4,346         200       X        28-5284                          200
GROUPE CGI INC               CL A SUB VTG   39945C109            380          43       X        28-11135       43
GRUBB & ELLIS CO             COM PAR $0.01  400095204          4,099       1,518       X        28-5284      1518
GRUPO TELEVISA SA DE CV      SP ADR REP ORD 40049J206          4,374         200       X      X 28-5284                          200
   COLUMN TOTAL                                            8,769,399








                                                                                                                    FILE NO. 28-1235
PAGE  93 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
GRUPO TMM S A B              SP ADR A SHS   40051D105         26,700      30,000       X      X 28-5284     30000
GUANGSHEN RY LTD             SPONSORED ADR  40065W107         10,164         420       X        28-5284       420
GUARANTY FINL GROUP INC      COM            40108N106          2,943         745       X        28-5284       745
GUESS INC                    COM            401617105          2,540          73       X        28-11135       73
GULF ISLAND FABRICATION INC  COM            402307102        251,838       7,306       X        28-11135     7306
GULFMARK OFFSHORE INC        COM            402629109         22,440         500       X      X 28-5284       500
GULFPORT ENERGY CORP         COM NEW        402635304        162,468      16,166       X        28-11135    16166
GUSHAN ENVIRONMENTAL ENRGY L SPON ADR       40330W106         30,660       6,000       X      X 28-5284      6000
GYMBOREE CORP                COM            403777105          8,520         240       X        28-5284                          240
                                                              48,280       1,360       X        28-11135     1360
H & E EQUIPMENT SERVICES INC COM            404030108            860          89       X        28-5284        89
H & Q LIFE SCIENCES INVS     SH BEN INT     404053100         74,489       7,014       X        28-5284      7014
                                                              10,535         992       X      X 28-5284       992
HCC INS HLDGS INC            COM            404132102      1,320,111      48,893       X        28-5284     45683               3210
                                                             783,675      29,025       X      X 28-5284     28980                 45
HCP INC                      COM            40414L109      1,268,349      31,606       X        28-5284     30726                880
                                                           2,423,691      60,396       X      X 28-5284     53196               7200
                                                              31,301         780       X        28-11135      780
HDFC BANK LTD                ADR REPS 3 SHS 40415F101          4,248          50       X        28-5284        50
                                                                 340           4       X      X 28-5284         4
HLTH CORPORATION             COM            40422Y101          8,001         700       X        28-5284       700
HNI CORP                     COM            404251100        119,098       4,700       X        28-5284      4700
                                                             121,632       4,800       X      X 28-5284      4800
HRPT PPTYS TR                COM SH BEN INT 40426W101         54,500       7,910       X        28-5284      7910
                                                             384,393      55,790       X      X 28-5284     54290               1500
                                                              68,900      10,000       X      X 28-4580     10000
   COLUMN TOTAL                                            7,240,676








                                                                                                                    FILE NO. 28-1235
PAGE  94 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
HSBC HLDGS PLC               SPON ADR NEW   404280406      2,914,245      36,054       X        28-5284     35612                442
                                                           1,272,507      15,743       X      X 28-5284     14941                802
                                                             115,506       1,429       X        28-11135     1429
                                                             323,320       4,000       X      X 28-4580      4000
HSBC HLDGS PLC               ADR A 1/40PF A 404280604         56,000       3,200       X        28-5284      3200
                                                              24,500       1,400       X      X 28-5284      1400
HSN INC                      COM            404303109          1,255         114       X        28-5284       114
                                                               1,541         140       X      X 28-5284       140
                                                                  55           5       X        28-11135        5
HAEMONETICS CORP             COM            405024100         12,344         200       X        28-5284                          200
                                                              12,344         200       X      X 28-5284       200
                                                               3,086          50       X        28-11135       50
HAIN CELESTIAL GROUP INC     COM            405217100          9,085         330       X        28-5284                          330
                                                              16,518         600       X      X 28-5284       600
                                                               1,789          65       X        28-11135       65
HALLIBURTON CO               COM            406216101      9,210,615     284,366       X        28-5284    213192              71174
                                                           9,180,103     283,424       X      X 28-5284    257068     1200     25156
                                                             130,726       4,036       X        28-11135     4036
                                                              72,230       2,230       X        28-4580      2230
                                                             100,409       3,100       X      X 28-4580      3100
HAMPTON ROADS BANKSHARES INC COM            409321106         39,658       3,888       X        28-5284      3888
                                                           1,565,700     153,500       X      X 28-5284    140000              13500
JOHN HANCOCK BK &THRIFT OPP  SH BEN INT     409735107         19,454       3,860       X        28-5284      3860
                                                              95,574      18,963       X        28-11135    18963
HANCOCK JOHN INCOME SECS TR  COM            410123103         15,655       1,517       X        28-5284      1517
                                                             145,512      14,100       X      X 28-5284                        14100
HANCOCK JOHN PATRIOT PREM II COM SH BEN INT 41013T105          7,774       1,121       X        28-5284      1121
HANCOCK JOHN TAX-ADV DIV INC COM            41013V100         32,120       2,850       X      X 28-5284      2850
HANCOCK JOHN INVS TR         COM            410142103        268,250      18,500       X      X 28-5284      1000              17500
HANCOCK JOHN PFD INCOME FD I COM            41021P103          7,522         736       X        28-5284       736
   COLUMN TOTAL                                           25,655,397








                                                                                                                    FILE NO. 28-1235
PAGE  95 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
HANESBRANDS INC              COM            410345102        269,613      12,396       X        28-5284     12214                182
                                                             356,004      16,368       X      X 28-5284     15800                568
HANGER ORTHOPEDIC GROUP INC  COM NEW        41043F208         40,746       2,335       X        28-11135     2335
HANOVER CAP MTG HLDGS INC    COM            410761100            337       2,104       X      X 28-5284      2104
HANOVER INS GROUP INC        COM            410867105        273,120       6,000       X        28-5284      6000
                                                              49,662       1,091       X      X 28-5284                         1091
HANSEN NAT CORP              COM            411310105      1,133,165      37,460       X        28-5284     31700               5760
                                                             140,360       4,640       X      X 28-5284      2390               2250
                                                                 605          20       X        28-11135       20
HARLEY DAVIDSON INC          COM            412822108      1,949,037      52,253       X        28-5284     44663               7590
                                                             864,129      23,167       X      X 28-5284     20257     1710      1200
                                                               5,595         150       X        28-4580       150
HARLEYSVILLE GROUP INC       COM            412824104         72,954       1,930       X        28-5284      1930
                                                              28,350         750       X      X 28-5284       750
HARLEYSVILLE NATL CORP PA    COM            412850109      2,588,193     152,426       X        28-5284    152426
                                                           1,151,465      67,813       X      X 28-5284     67813
HARMAN INTL INDS INC         COM            413086109         45,313       1,330       X        28-5284      1330
HARMONIC INC                 COM            413160102          6,253         740       X        28-5284                          740
                                                             223,528      26,453       X        28-11135    26453
HARMONY GOLD MNG LTD         SPONSORED ADR  413216300         18,876       1,950       X        28-5284                         1950
HARRIS & HARRIS GROUP INC    COM            413833104          1,595         250       X        28-5284       250
                                                                 638         100       X      X 28-5284       100
HARRIS CORP DEL              COM            413875105        846,153      18,315       X        28-5284     18315
                                                           1,277,800      27,658       X      X 28-5284     21158      275      6225
                                                             598,798      12,961       X        28-11135    12961
HARSCO CORP                  COM            415864107         76,611       2,060       X        28-5284      2060
                                                           1,109,341      29,829       X      X 28-5284     28349               1480
                                                               3,161          85       X        28-11135       85
   COLUMN TOTAL                                           13,131,402








                                                                                                                    FILE NO. 28-1235
PAGE  96 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
HARTE-HANKS INC              COM            416196103        197,134      19,010       X        28-11135    19010
HARTFORD FINL SVCS GROUP INC COM            416515104      3,340,193      81,488       X        28-5284     71163              10325
                                                           1,371,443      33,458       X      X 28-5284     31268               2190
                                                             613,456      14,966       X        28-11135    14966
                                                               5,165         126       X        28-4580        51                 75
HARTFORD INCOME SHS FD INC   COM            416537108         19,434       4,100       X      X 28-5284                         4100
HARVEST ENERGY TR            TRUST UNIT     41752X101         58,643       3,470       X        28-5284      3470
                                                              47,320       2,800       X      X 28-5284      2800
HASBRO INC                   COM            418056107     14,662,325     422,302       X        28-5284    396762              25540
                                                           3,174,311      91,426       X      X 28-5284     77423     3774     10229
                                                             345,742       9,958       X        28-4580      9804                154
                                                              79,092       2,278       X      X 28-4580      2278
HATTERAS FINL CORP           COM            41902R103          1,067          46       X        28-5284        46
HAUPPAUGE DIGITAL INC        COM            419131107         79,950      65,000       X      X 28-5284              65000
HAVERTY FURNITURE INC        COM            419596101          2,265         198       X        28-5284       198
HAWAIIAN ELEC INDUSTRIES     COM            419870100          5,822         200       X        28-5284       200
                                                             227,349       7,810       X      X 28-5284      7810
HEALTHSOUTH CORP             COM NEW        421924309         21,876       1,187       X        28-5284      1187
HEALTH MGMT ASSOC INC NEW    CL A           421933102      1,439,031     345,921       X        28-5284    321711              24210
                                                             114,691      27,570       X      X 28-5284     26820                750
HEALTHCARE RLTY TR           COM            421946104         36,583       1,255       X        28-5284      1255
                                                             463,106      15,887       X      X 28-5284     15887
                                                                 437          15       X        28-11135       15
HEADWATERS INC               COM            42210P102            935          70       X        28-5284        70
                                                               4,005         300       X      X 28-5284       300
HEALTH CARE REIT INC         NOTE  4.750% 7 42217KAQ9      4,400,432       4,000       X        28-11439     4000
HEALTH CARE REIT INC         COM            42217K106        151,972       2,855       X        28-5284      2295                560
                                                             804,944      15,122       X      X 28-5284     15122
                                                               3,300          62       X        28-11135       62
   COLUMN TOTAL                                           31,672,023








                                                                                                                    FILE NO. 28-1235
PAGE  97 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
HEALTH NET INC               COM            42222G108          3,540         150       X        28-5284       150
                                                                  24           1       X      X 28-5284         1
                                                             190,122       8,056       X        28-11135     8056
HEALTHWAYS INC               COM            422245100        103,892       6,425       X      X 28-5284                         6425
HEARST-ARGYLE TELEVISION INC COM            422317107         15,631         700       X        28-5284       700
HEARTLAND EXPRESS INC        COM            422347104          6,720         433       X        28-5284                          433
HEARTLAND PMT SYS INC        COM            42235N108         18,122         709       X        28-5284       709
                                                             332,203      12,997       X      X 28-5284      9047               3950
                                                             207,419       8,115       X        28-11135     8115
HECLA MNG CO                 COM            422704106          4,797       1,025       X      X 28-5284      1025
HECLA MNG CO                 PFD CV SER B   422704205          8,404         200       X      X 28-5284                          200
HEICO CORP NEW               COM            422806109          6,564         200       X      X 28-5284       200
HEIDRICK & STRUGGLES INTL IN COM            422819102          4,523         150       X        28-5284                          150
                                                              73,868       2,450       X      X 28-5284      2450
                                                             320,223      10,621       X        28-11135    10621
HEINZ H J CO                 COM            423074103     25,247,992     505,263       X        28-5284    490246              15017
                                                          27,104,078     542,407       X      X 28-5284    507339      807     34261
                                                             894,563      17,902       X        28-11135    17902
                                                           1,699,680      34,014       X        28-4580     34014
                                                           1,067,959      21,372       X      X 28-4580     21372
HELLENIC TELECOM ORGANIZATN  SPONSORED ADR  423325307          3,546         394       X        28-5284       394
HELMERICH & PAYNE INC        COM            423452101         90,699       2,100       X        28-5284      2100
                                                             589,975      13,660       X      X 28-5284     13660
                                                              13,216         306       X        28-11135      306
HENRY JACK & ASSOC INC       COM            426281101         76,644       3,770       X        28-5284      3770
                                                              12,198         600       X      X 28-5284                          600
HERCULES INC                 COM            427056106         46,704       2,360       X        28-5284      1100               1260
                                                              29,685       1,500       X        28-4580      1500
                                                              29,685       1,500       X      X 28-4580      1500
   COLUMN TOTAL                                           58,202,676








                                                                                                                    FILE NO. 28-1235
PAGE  98 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
HERCULES OFFSHORE INC        COM            427093109          6,974         460       X        28-5284       460
HERCULES TECH GROWTH CAP INC COM            427096508         10,612       1,094       X        28-5284      1094
HERSHA HOSPITALITY TR        SH BEN INT A   427825104        130,386      17,525       X        28-5284     17525
                                                               7,812       1,050       X      X 28-5284      1050
                                                                 893         120       X        28-11135      120
HERSHEY CO                   COM            427866108      2,937,585      74,294       X        28-5284     60028              14266
                                                          10,547,335     266,751       X      X 28-5284    262661               4090
                                                              67,218       1,700       X        28-4580      1700
                                                              21,747         550       X      X 28-4580       550
HERZFELD CARIBBEAN BASIN FD  COM            42804T106          2,639         455       X        28-5284       455
HERTZ GLOBAL HOLDINGS INC    COM            42805T105          6,510         860       X        28-5284       860
HESS CORP                    COM            42809H107        292,041       3,558       X        28-5284      3558
                                                             689,144       8,396       X      X 28-5284      7795      501       100
                                                              15,595         190       X      X 28-4580       190
HEWLETT PACKARD CO           COM            428236103    106,150,440   2,295,641       X        28-5284   2187049             108592
                                                          86,886,393   1,879,031       X      X 28-5284   1762080    16984     99967
                                                           1,020,702      22,074       X        28-11135    22074
                                                           2,267,795      49,044       X        28-4580     48296                748
                                                           3,366,688      72,809       X      X 28-4580     72809
HEXCEL CORP NEW              COM            428291108         31,309       2,287       X        28-5284      2287
                                                              41,070       3,000       X      X 28-5284                         3000
HIGH YIELD PLUS FD INC       COM            429906100          2,320       1,000       X        28-5284      1000
HIGHLAND DISTRESSED OPPORT I COM            430067108          1,458         491       X        28-5284       491
HIGHWOODS PPTYS INC          COM            431284108        270,256       7,600       X        28-5284      7600
                                                                 320           9       X      X 28-5284         9
                                                             194,015       5,456       X        28-11135     5456
HILB ROGAL & HOBBS CO        COM            431294107         42,066         900       X        28-5284       600                300
                                                             323,207       6,915       X      X 28-5284       953               5962
                                                               7,245         155       X        28-11135      155
HILL INTERNATIONAL INC       COM            431466101         13,850       1,000       X      X 28-5284      1000
   COLUMN TOTAL                                          215,355,625








                                                                                                                    FILE NO. 28-1235
PAGE  99 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
HILL ROM HLDGS INC           COM            431475102      3,132,205     103,339       X        28-5284     13819              89520
                                                           8,100,014     267,239       X      X 28-5284    179651    36424     51164
HILLENBRAND INC              COM            431571108      2,083,314     103,339       X        28-5284     13819              89520
                                                           5,387,538     267,239       X      X 28-5284    179650    36425     51164
HIMAX TECHNOLOGIES INC       SPONSORED ADR  43289P106          2,890       1,000       X        28-5284      1000
HIRSCH INTL CORP             CL A           433550100        206,064     208,145       X      X 28-5284             208145
HITACHI LIMITED              ADR 10 COM     433578507         30,601         441       X        28-5284       441
HOLLIS-EDEN PHARMACEUTICALS  COM            435902101         16,335      13,500       X        28-5284     13500
                                                               3,630       3,000       X      X 28-5284      3000
HOLOGIC INC                  COM            436440101        150,445       7,783       X        28-5284      7783
                                                              21,650       1,120       X      X 28-5284      1120
                                                             142,230       7,358       X        28-11135     7358
HOME DEPOT INC               COM            437076102     22,675,135     875,826       X        28-5284    782956              92870
                                                          15,470,207     597,536       X      X 28-5284    500653    12343     84540
                                                              42,667       1,648       X        28-11135     1648
                                                             617,321      23,844       X        28-4580     23844
                                                             340,454      13,150       X      X 28-4580     13150
HOME DIAGNOSTICS INC DEL     COM            437080104        212,031      21,904       X        28-11135    21904
HOME PROPERTIES INC          COM            437306103        789,569      13,625       X        28-5284       625              13000
HONDA MOTOR LTD              AMERN SHS      438128308        271,713       9,024       X        28-5284      8244                780
                                                             556,523      18,483       X      X 28-5284     17833                650
HONEYWELL INTL INC           COM            438516106     24,425,043     587,847       X        28-5284    537932              49915
                                                           9,444,980     227,316       X      X 28-5284    184650     2832     39834
                                                             224,619       5,406       X        28-11135     5406
                                                             187,972       4,524       X        28-4580      4524
                                                             308,758       7,431       X      X 28-4580      7431
HORIZON LINES INC            COM            44044K101         11,844       1,200       X        28-5284      1200
HORMEL FOODS CORP            COM            440452100        186,842       5,150       X        28-5284      5150
                                                             945,094      26,050       X      X 28-5284      8295              17755
                                                              54,420       1,500       X        28-4580      1500
   COLUMN TOTAL                                           96,042,108








                                                                                                                    FILE NO. 28-1235
PAGE 100 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
HOSPITALITY PPTYS TR         COM SH BEN INT 44106M102         61,047       2,975       X        28-5284      2975
                                                             551,065      26,855       X      X 28-5284     23755               3100
HOSPIRA INC                  COM            441060100        758,537      19,857       X        28-5284     18493               1364
                                                           2,345,633      61,404       X      X 28-5284     54274      600      6530
                                                               1,910          50       X        28-11135       50
                                                             244,556       6,402       X      X 28-4580      6402
HOST HOTELS & RESORTS INC    COM            44107P104        692,010      52,070       X        28-5284     52070
                                                             162,723      12,244       X      X 28-5284     12244
                                                             218,647      16,452       X        28-11135    16452
HOT TOPIC INC                COM            441339108          2,049         310       X        28-5284                          310
HOUSTON WIRE & CABLE CO      COM            44244K109         24,038       1,400       X        28-5284      1400
                                                             242,097      14,100       X      X 28-5284     14100
HOVNANIAN ENTERPRISES INC    CL A           442487203            799         100       X        28-5284       100
                                                               3,196         400       X      X 28-5284       400
HUANENG PWR INTL INC         SPON ADR H SHS 443304100         36,443       1,369       X        28-5284       369               1000
                                                              21,296         800       X      X 28-5284       800
HUBBELL INC                  CL A           443510102         55,831       1,384       X        28-5284      1384
                                                             673,315      16,691       X      X 28-5284     10741               5950
HUBBELL INC                  CL B           443510201        235,746       6,726       X        28-5284      1726               5000
                                                             774,570      22,099       X      X 28-5284     17859               4240
                                                               1,963          56       X        28-11135       56
HUDSON CITY BANCORP          COM            443683107     14,043,420     761,161       X        28-5284    699955              61206
                                                           2,851,835     154,571       X      X 28-5284    137205     6840     10526
                                                             177,009       9,594       X        28-4580      9594
                                                              50,885       2,758       X      X 28-4580      2758
HUGOTON RTY TR TEX           UNIT BEN INT   444717102        146,654       5,464       X        28-5284      5464
                                                               1,449          54       X      X 28-5284        54
HUMANA INC                   COM            444859102        489,497      11,881       X        28-5284     11121                760
                                                             603,951      14,659       X      X 28-5284     14659
                                                             112,682       2,735       X        28-11135     2735
   COLUMN TOTAL                                           25,584,853








                                                                                                                    FILE NO. 28-1235
PAGE 101 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
HUMAN GENOME SCIENCES INC    COM            444903108         22,225       3,500       X        28-5284      3500
                                                               1,270         200       X      X 28-5284       200
HUNT J B TRANS SVCS INC      COM            445658107          9,477         284       X        28-5284       141                143
                                                                 200           6       X      X 28-5284         6
                                                              11,713         351       X        28-11135      351
HUNTINGTON BANCSHARES INC    COM            446150104        703,120      88,000       X        28-5284     72140              15860
                                                             515,419      64,508       X      X 28-5284     64258                250
                                                               6,104         764       X        28-11135      764
                                                              85,701      10,726       X      X 28-4580     10726
HUNTINGTON BANCSHARES INC    PFD CONV SER A 446150401         77,610         100       X      X 28-5284                100
HUNTSMAN CORP                COM            447011107         12,600       1,000       X        28-5284      1000
                                                              31,500       2,500       X      X 28-5284      2500
HURON CONSULTING GROUP INC   COM            447462102      1,382,335      24,260       X      X 28-5284     24260
                                                                 855          15       X        28-11135       15
HUTCHINSON TECHNOLOGY INC    COM            448407106          2,316         200       X        28-5284                          200
HUTCHISON TELECOMM INTL LTD  SPONSORED ADR  44841T107          1,859         112       X        28-5284       112
HYDROGENICS CORP             COM            448882100            630         787       X      X 28-5284       787
HYPERDYNAMICS CORP           COM            448954107          1,250       1,000       X        28-5284      1000
HYPERION BRKFLD TOTAL RET FD COM            449145101          4,012         850       X        28-5284       850
                                                             142,072      30,100       X      X 28-5284                        30100
HYPERION BRKFLD STRGC MTG IN COM            44915C105        147,126      22,600       X      X 28-5284                        22600
HYTHIAM INC                  COM            44919F104            645         500       X        28-5284                          500
IAC INTERACTIVECORP          COM PAR $.001  44919P508          5,674         328       X        28-5284       328
                                                               6,055         350       X      X 28-5284       350
                                                                 208          12       X        28-11135       12
ICO GLOBAL COMM HLDGS LTD DE CL A           44930K108          1,891       1,735       X        28-5284      1735
ICAD INC                     COM            44934S107            638         200       X      X 28-5284       200
   COLUMN TOTAL                                            3,174,505








                                                                                                                    FILE NO. 28-1235
PAGE 102 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
ICX TECHNOLOGIES INC         COM            44934T105      1,271,741     164,947       X      X 28-5284    164947
ING PRIME RATE TR            SH BEN INT     44977W106          3,646         840       X        28-5284       840
                                                              13,020       3,000       X      X 28-5284      3000
ING CLARION REAL EST INCOME  COM SHS        449788108         13,200       1,600       X        28-5284      1600
ING CLARION GLB RE EST INCM  COM            44982G104         92,928      10,584       X        28-5284      8150               2434
                                                               8,780       1,000       X      X 28-5284      1000
IMS HEALTH INC               COM            449934108        440,962      23,319       X        28-5284     20919               2400
                                                             395,748      20,928       X      X 28-5284     20928
                                                              15,128         800       X      X 28-4580       800
ISTAR FINL INC               COM            45031U101          6,851       2,635       X        28-5284      2585                 50
                                                              53,560      20,600       X      X 28-5284     20600
ITT EDUCATIONAL SERVICES INC COM            45068B109         75,165         929       X        28-5284       769                160
                                                             101,138       1,250       X      X 28-5284      1250
                                                           1,148,922      14,200       X      X 28-4580     14200
IVAX DIAGNOSTICS INC         COM            45070W109         76,850     145,000       X      X 28-5284             145000
IBASIS INC                   COM NEW        450732201         88,841      25,456       X      X 28-5284              25456
ITT CORP NEW                 COM            450911102     39,114,183     703,366       X        28-5284    672833              30533
                                                          17,685,871     318,034       X      X 28-5284    301498     3258     13278
                                                             434,648       7,816       X        28-4580      7816
                                                             373,032       6,708       X      X 28-4580      6708
ICON PUB LTD CO              SPONSORED ADR  45103T107         41,540       1,086       X        28-5284      1086
                                                              18,360         480       X      X 28-5284       480
ICICI BK LTD                 ADR            45104G104         59,741       2,540       X        28-5284      1140               1400
                                                              18,816         800       X      X 28-5284       800
ICAHN ENTERPRISES LP         DEPOSITRY UNIT 451100101         98,111       2,279       X        28-5284      2279
                                                              49,249       1,144       X      X 28-5284               1144
IDACORP INC                  COM            451107106         13,091         450       X        28-5284       450
                                                              39,766       1,367       X      X 28-5284      1067                300
   COLUMN TOTAL                                           61,752,888








                                                                                                                    FILE NO. 28-1235
PAGE 103 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
IDEARC INC                   COM            451663108         20,035      16,028       X        28-5284     15478                550
                                                              26,604      21,283       X      X 28-5284     20051       97      1135
                                                                  46          37       X        28-11135       37
                                                                 260         208       X        28-4580       175                 33
                                                                 591         473       X      X 28-4580       473
IDEX CORP                    COM            45167R104         49,632       1,600       X        28-5284      1600
IDEXX LABS INC               COM            45168D104        738,485      13,476       X        28-5284     13476
                                                           2,053,411      37,471       X      X 28-5284     19596              17875
                                                              18,742         342       X        28-11135      342
IGATE CORP                   COM            45169U105         34,680       4,000       X        28-5284      4000
                                                              13,005       1,500       X      X 28-5284      1500
IKON OFFICE SOLUTIONS INC    COM            451713101         17,010       1,000       X        28-5284      1000
                                                             192,740      11,331       X      X 28-5284     10416      915
IHS INC                      CL A           451734107         10,100         212       X        28-11135      212
ILLINOIS TOOL WKS INC        COM            452308109     27,269,764     613,493       X        28-5284    578701              34792
                                                          20,591,774     463,257       X      X 28-5284    393556     1950     67751
                                                               2,311          52       X        28-11135       52
                                                           1,403,109      31,566       X        28-4580     31566
                                                             619,011      13,926       X      X 28-4580     13076      850
ILLUMINA INC                 COM            452327109         27,155         670       X        28-5284       670
IMATION CORP                 COM            45245A107          4,157         184       X        28-5284       134                 50
                                                              40,301       1,784       X      X 28-5284      1784
IMAX CORP                    COM            45245E109         29,600       5,000       X      X 28-5284      5000
IMCLONE SYS INC              COM            45245W109          3,744          60       X        28-5284                           60
IMMUCOR INC                  COM            452526106         56,090       1,755       X        28-11135     1755
IMMUNOGEN INC                COM            45253H101          9,820       2,000       X        28-5284      2000
                                                               7,365       1,500       X      X 28-5284      1500
IMMUNOMEDICS INC             COM            452907108         17,800      10,000       X        28-5284     10000
   COLUMN TOTAL                                           53,257,342








                                                                                                                    FILE NO. 28-1235
PAGE 104 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
IMPERIAL OIL LTD             COM NEW        453038408        278,391       6,535       X        28-5284      6535
                                                           1,054,350      24,750       X      X 28-5284     13350              11400
INCYTE CORP                  COM            45337C102          1,530         200       X        28-5284       200
INDEPENDENT BANK CORP MASS   COM            453836108         23,378         750       X      X 28-5284       750
INDEVUS PHARMACEUTICALS INC  COM            454072109          3,350       1,000       X        28-5284      1000
INDIA FD INC                 COM            454089103        338,637      10,318       X        28-5284     10193                125
                                                           1,560,361      47,543       X      X 28-5284     47543
INERGY L P                   UNIT LTD PTNR  456615103          2,163         100       X        28-5284       100
                                                              21,630       1,000       X      X 28-5284                         1000
INFINEON TECHNOLOGIES AG     SPONSORED ADR  45662N103          4,981         891       X        28-5284       891
INFOCUS CORP                 COM            45665B106      2,064,330   1,404,306       X      X 28-5284            1404306
INFOLOGIX INC                COM            45668X105        185,000     125,000       X        28-5284    125000
INFOGROUP INC                COM            45670G108          1,448         219       X        28-5284       219
INFOSPACE INC                COM NEW        45678T201          5,425         500       X      X 28-5284                500
INFOSYS TECHNOLOGIES LTD     SPONSORED ADR  456788108         55,295       1,660       X        28-5284       660               1000
                                                              33,310       1,000       X      X 28-5284                         1000
                                                             163,019       4,894       X        28-11135     4894
ING GROEP N V                SPONSORED ADR  456837103         78,131       3,651       X        28-5284      2651               1000
                                                              87,355       4,082       X      X 28-5284      4082
                                                             273,235      12,768       X        28-11135    12768
                                                              22,513       1,052       X        28-4580      1052
ING GLOBAL EQTY DIV & PREM O COM            45684E107         34,488       3,107       X        28-5284      3107
                                                               2,775         250       X      X 28-5284       250
INGLES MKTS INC              CL A           457030104            137           6       X        28-11135        6
INGRAM MICRO INC             CL A           457153104        109,276       6,800       X        28-5284                         6800
                                                               2,684         167       X      X 28-5284       167
INHIBITEX INC                COM            45719T103        253,442     684,978       X      X 28-5284             684978
   COLUMN TOTAL                                            6,660,634








                                                                                                                    FILE NO. 28-1235
PAGE 105 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
INLAND REAL ESTATE CORP      COM NEW        457461200          3,138         200       X        28-5284       200
                                                               7,845         500       X      X 28-5284       500
INSIGHT ENTERPRISES INC      COM            45765U103          5,096         380       X        28-5284                          380
INSITUFORM TECHNOLOGIES INC  CL A           457667103          3,291         220       X        28-5284                          220
INNOSPEC INC                 COM            45768S105          9,527         790       X        28-5284       790
                                                               1,206         100       X      X 28-5284                          100
INNOVATIVE SOLUTIONS & SUPPO COM            45769N105          8,175       1,500       X        28-5284      1500
INSTEEL INDUSTRIES INC       COM            45774W108         10,872         800       X        28-5284       800
                                                              19,026       1,400       X      X 28-5284      1400
INTEGRA LIFESCIENCES HLDGS C COM NEW        457985208        501,942      11,400       X        28-5284     11400
                                                              13,209         300       X      X 28-5284       300
INSWEB CORP                  COM NEW        45809K202      1,358,202     251,054       X      X 28-5284             251054
INTEGRATED SILICON SOLUTION  COM            45812P107        936,675     405,487       X      X 28-5284             405487
INTEL CORP                   COM            458140100    101,723,641   5,431,054       X        28-5284   5128808             302246
                                                          96,344,179   5,143,843       X      X 28-5284   4641028    22560    480255
                                                           1,615,238      86,238       X        28-11135    86238
                                                           2,144,735     114,508       X        28-4580    113702                806
                                                           1,418,273      75,722       X      X 28-4580     75422      300
INTEGRYS ENERGY GROUP INC    COM            45822P105        319,716       6,402       X        28-5284      6202                200
                                                             844,785      16,916       X      X 28-5284     16916
                                                             249,700       5,000       X      X 28-4580      5000
INTER PARFUMS INC            COM            458334109          1,139          84       X        28-11135       84
INTERACTIVE BROKERS GROUP IN COM            45841N107         31,193       1,407       X        28-11135     1407
INTERCONTINENTAL HTLS GRP PL SPONS ADR NEW  45857P301         20,064       1,622       X        28-5284      1622
INTERCONTINENTALEXCHANGE INC COM            45865V100      1,463,939      18,145       X        28-5284     15792               2353
                                                              24,204         300       X      X 28-5284       300
                                                              25,576         317       X        28-11135      317
   COLUMN TOTAL                                          209,104,586








                                                                                                                    FILE NO. 28-1235
PAGE 106 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
INTERFACE INC                CL A           458665106          5,003         440       X        28-5284                          440
                                                              56,850       5,000       X      X 28-5284      5000
INTERDIGITAL INC             COM            45867G101          3,006         125       X        28-5284       125
INTERMEC INC                 COM            458786100          9,820         500       X        28-5284       500
                                                              15,712         800       X      X 28-5284       800
INTERMUNE INC                COM            45884X103         21,388       1,250       X      X 28-5284      1250
INTERNAP NETWORK SVCS CORP   COM PAR $.001  45885A300         17,226       4,950       X      X 28-5284      4950
INTERNATIONAL BUSINESS MACHS COM            459200101    146,759,303   1,254,782       X        28-5284   1188450              66332
                                                         196,611,631   1,681,016       X      X 28-5284   1521182     9919    149915
                                                           1,927,384      16,479       X        28-11135    16479
                                                           6,176,307      52,807       X        28-4580     52807
                                                           6,186,716      52,896       X      X 28-4580     52896
INTERNATIONAL COAL GRP INC N COM            45928H106         12,480       2,000       X        28-5284      2000
                                                             639,600     102,500       X      X 28-5284    102500
INTERNATIONAL FLAVORS&FRAGRA COM            459506101        270,735       6,861       X        28-5284      2691               4170
                                                             235,182       5,960       X      X 28-5284      3881               2079
                                                                 316           8       X        28-11135        8
INTERNATIONAL GAME TECHNOLOG COM            459902102        440,804      25,658       X        28-5284     22918               2740
                                                             161,200       9,383       X      X 28-5284      9383
INTL PAPER CO                COM            460146103     10,561,326     403,412       X        28-5284    376022              27390
                                                           4,324,988     165,202       X      X 28-5284    151270     3915     10017
                                                             402,046      15,357       X        28-11135    15357
                                                              69,508       2,655       X        28-4580      2655
                                                              99,484       3,800       X      X 28-4580      3800
INTERNATIONAL RECTIFIER CORP COM            460254105         40,379       2,123       X        28-5284      2123
                                                              17,118         900       X      X 28-5284       900
                                                              56,394       2,965       X        28-11135     2965
INTERNATIONAL SHIPHOLDING CO COM NEW        460321201         66,379       3,031       X        28-5284      3031
INTERNATIONAL SPEEDWAY CORP  CL A           460335201         16,342         420       X        28-5284       420
                                                               3,891         100       X      X 28-5284                          100
   COLUMN TOTAL                                          375,208,518








                                                                                                                    FILE NO. 28-1235
PAGE 107 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
INTERNET CAP GROUP INC       COM NEW        46059C205         42,569       5,249       X        28-5284      5249
                                                               5,961         735       X      X 28-5284        10      725
INTERNET INITIATIVE JAPAN IN SPONSORED ADR  46059T109         11,580       2,000       X        28-5284      2000
INTERSIL CORP                CL A           46069S109          1,244          75       X        28-5284        75
                                                               9,948         600       X      X 28-5284       600
                                                              11,291         681       X        28-11135      681
INTERPUBLIC GROUP COS INC    COM            460690100         46,136       5,953       X        28-5284      5953
                                                              23,335       3,011       X      X 28-5284      3011
INTERSTATE HOTELS & RESRTS I COM            46088S106        123,469      52,540       X        28-5284     52540
INTERVAL LEISURE GROUP INC   COM            46113M108          1,186         114       X        28-5284       114
                                                               1,456         140       X      X 28-5284       140
                                                               9,422         906       X        28-11135      906
INTEST CORP                  COM            461147100        187,528     178,598       X        28-5284    178598
INTROGEN THERAPEUTICS INC    COM            46119F107          1,091       1,732       X        28-5284      1732
INTUITIVE SURGICAL INC       COM NEW        46120E602      3,397,577      14,099       X        28-5284     12688               1411
                                                           2,405,462       9,982       X      X 28-5284      7827     1655       500
                                                              47,714         198       X        28-11135      198
INTUIT                       COM            461202103        293,151       9,274       X        28-5284      8174               1100
                                                           1,441,985      45,618       X      X 28-5284     44558               1060
                                                              54,590       1,727       X        28-11135     1727
INVACARE CORP                COM            461203101          6,276         260       X        28-5284                          260
INTREPID POTASH INC          COM            46121Y102         18,687         620       X        28-5284       400                220
INVENTIV HEALTH INC          COM            46122E105        159,699       9,043       X        28-11135     9043
                                                               2,790         158       X        28-4580       158
INVERNESS MED INNOVATIONS IN COM            46126P106          5,250         175       X        28-5284        35                140
INVITROGEN CORP              COM            46185R100      2,691,058      71,192       X        28-5284     70056               1136
                                                             274,655       7,266       X      X 28-5284      7266
                                                               1,134          30       X        28-11135       30
                                                              12,172         322       X        28-4580       322
   COLUMN TOTAL                                           11,288,416








                                                                                                                    FILE NO. 28-1235
PAGE 108 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
IOWA TELECOMM SERVICES INC   COM            462594201         28,767       1,540       X        28-5284      1540
                                                             123,288       6,600       X      X 28-5284      6600
IRELAND BK                   SPONSORED ADR  46267Q103         11,816         521       X        28-5284       521
IROBOT CORP                  COM            462726100         44,460       3,000       X      X 28-5284                         3000
IRON MTN INC                 COM            462846106        732,031      29,989       X        28-5284     28043               1946
                                                             977,791      40,057       X      X 28-5284     21682              18375
ISHARES SILVER TRUST         ISHARES        46428Q109        103,688       8,750       X        28-5284      8750
                                                             230,020      19,411       X      X 28-5284     19411
                                                             118,500      10,000       X        28-4580     10000
ISHARES S&P GSCI COMMODITY I UNIT BEN INT   46428R107         45,730         850       X        28-5284       850
ISHARES COMEX GOLD TR        ISHARES        464285105      1,202,905      14,074       X        28-5284     14074
                                                           5,283,670      61,819       X      X 28-5284     61819
ISHARES INC                  MSCI AUSTRALIA 464286103         10,270         500       X        28-5284       500
                                                             383,975      18,694       X      X 28-5284     18694
ISHARES INC                  MSCI AUSTRIA I 464286202         48,328       2,211       X      X 28-5284      2211
ISHARES INC                  MSCI BRAZIL    464286400         63,687       1,131       X        28-5284      1131
                                                             370,914       6,587       X      X 28-5284      6587
ISHARES INC                  MSCI CDA INDEX 464286509        154,800       5,877       X        28-5284      5877
                                                             455,498      17,293       X      X 28-5284     17293
ISHARES INC                  MSCI EMU INDEX 464286608      4,067,169     102,396       X        28-5284    102396
                                                             759,645      19,125       X      X 28-5284     18325      800
                                                                 159           4       X        28-11135        4
                                                           1,308,337      32,939       X        28-4580     32939
                                                           1,598,214      40,237       X      X 28-4580     38837               1400
ISHARES INC                  MSCI BRIC INDX 464286657         17,367         500       X      X 28-5284       500
ISHARES INC                  MSCI PAC J IDX 464286665     44,953,334   1,252,182       X        28-5284   1248108               4074
                                                           6,248,790     174,061       X      X 28-5284    169516      303      4242
                                                             923,707      25,730       X        28-11135    25730
                                                           2,272,829      63,310       X        28-4580     62110               1200
                                                           2,816,355      78,450       X      X 28-4580     74550               3900
   COLUMN TOTAL                                           75,356,044








                                                                                                                    FILE NO. 28-1235
PAGE 109 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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 SINGAPORE 464286673         53,570       5,500       X        28-5284      5500
                                                              87,709       9,005       X      X 28-5284      8105                900
                                                              66,894       6,868       X      X 28-4580      6868
ISHARES INC                  MSCI FRANCE    464286707         17,548         656       X        28-5284       656
ISHARES INC                  MSCI TAIWAN    464286731         26,460       2,450       X      X 28-5284      2450
                                                              69,908       6,473       X        28-11135     6473
ISHARES INC                  MSCI SWITZERLD 464286749         10,515         500       X        28-5284       500
                                                             334,903      15,925       X      X 28-5284     15925
ISHARES INC                  MSCI SPAIN     464286764         15,521         334       X      X 28-5284       334
ISHARES INC                  MSCI S KOREA   464286772          6,118         154       X        28-5284       154
                                                             104,410       2,628       X      X 28-5284      2628
                                                              19,865         500       X        28-4580       500
ISHARES INC                  MSCI STH AFRCA 464286780         14,424         294       X      X 28-5284       294
ISHARES INC                  MSCI GERMAN    464286806          2,629         110       X        28-5284       110
ISHARES INC                  MSCI MEX INVES 464286822         70,005       1,500       X      X 28-5284      1500
ISHARES INC                  MSCI MALAYSIA  464286830         82,218       9,494       X      X 28-5284      9494
ISHARES INC                  MSCI JAPAN     464286848     21,816,873   2,046,611       X        28-5284   2046511                100
                                                           4,911,307     460,723       X      X 28-5284    460223                500
                                                              35,434       3,324       X        28-11135     3324
                                                           1,804,631     169,290       X        28-4580    166290               3000
                                                           3,439,332     322,639       X      X 28-4580    314639               8000
ISHARES INC                  MSCI HONG KONG 464286871         12,946         980       X        28-5284       980
                                                               7,926         600       X      X 28-5284       600
                                                               6,605         500       X        28-11135      500
ISHARES TR                   S&P 100 IDX FD 464287101     14,413,408     271,746       X        28-5284    259918              11828
                                                           4,770,524      89,942       X      X 28-5284     37442              52500
                                                             276,391       5,211       X        28-4580      5211
                                                             316,649       5,970       X      X 28-4580      5970
   COLUMN TOTAL                                           52,794,723








                                                                                                                    FILE NO. 28-1235
PAGE 110 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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     28,379,156     533,042       X        28-5284    528735               4307
                                                          16,967,694     318,702       X      X 28-5284    311329      958      6415
                                                           1,865,583      35,041       X        28-4580     30717               4324
                                                             907,316      17,042       X      X 28-4580     15042               2000
ISHARES TR                   US TIPS BD FD  464287176     20,103,694     198,457       X        28-5284    197186               1271
                                                           5,173,695      51,073       X      X 28-5284     49348     1475       250
                                                             576,904       5,695       X        28-11135     5695
                                                           1,819,449      17,961       X        28-4580     16431               1530
                                                             579,537       5,721       X      X 28-4580      5221                500
ISHARES TR                   FTSE XNHUA IDX 464287184        470,378      13,646       X        28-5284     13646
                                                           1,196,695      34,717       X      X 28-5284     34408                309
                                                               5,171         150       X        28-11135      150
ISHARES TR                   TRANSP AVE IDX 464287192         66,168         800       X        28-5284       800
ISHARES TR                   S&P 500 INDEX  464287200    207,171,041   1,773,421       X        28-5284   1733513              39908
                                                          81,090,136     694,146       X      X 28-5284    644633    29376     20137
                                                           3,182,177      27,240       X        28-4580     27240
                                                           1,991,664      17,049       X      X 28-4580     11649     5400
ISHARES TR                   LEHMAN AGG BND 464287226     94,435,615     957,862       X        28-5284    953520               4342
                                                          15,575,445     157,982       X      X 28-5284    136598    15825      5559
                                                           1,414,274      14,345       X        28-11135    14345
                                                             310,460       3,149       X        28-4580      3149
                                                              12,817         130       X      X 28-4580       130
ISHARES TR                   MSCI EMERG MKT 464287234     47,943,346   1,403,083       X        28-5284   1373834              29249
                                                          18,228,670     533,470       X      X 28-5284    505630     8535     19305
                                                               1,845          54       X        28-11135       54
                                                           1,144,182      33,485       X        28-4580     33485
                                                             792,710      23,199       X      X 28-4580     19617     2700       882
ISHARES TR                   IBOXX INV CPBD 464287242     42,603,829     474,483       X        28-5284    473033               1450
                                                          12,408,170     138,191       X      X 28-5284    132078     2442      3671
ISHARES TR                   S&P GBL TELCM  464287275          2,739          50       X      X 28-5284        50
ISHARES TR                   S&P GBL INF    464287291         24,827         510       X        28-5284       510
                                                              41,135         845       X      X 28-5284       845
   COLUMN TOTAL                                          606,486,522








                                                                                                                    FILE NO. 28-1235
PAGE 111 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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     25,781,073     454,052       X        28-5284    451565               2487
                                                          16,992,835     299,275       X      X 28-5284    285883              13392
                                                             247,504       4,359       X        28-4580      4359
ISHARES TR                   S&P GBL HLTHCR 464287325         10,090         200       X        28-5284       200
                                                             812,213      16,100       X      X 28-4580     16100
ISHARES TR                   S&P GBL FIN    464287333        260,615       4,700       X      X 28-5284      4700
ISHARES TR                   S&P GBL ENER   464287341         66,747       1,770       X        28-5284      1770
ISHARES TR                   S&P NA NAT RES 464287374      8,350,543     232,153       X        28-5284    227011               5142
                                                           3,082,665      85,701       X      X 28-5284     85701
                                                           1,618,398      44,993       X        28-11135    44993
                                                           2,713,181      75,429       X        28-4580     69429               6000
                                                           5,863,110     163,000       X      X 28-4580    160000               3000
ISHARES TR                   S&P LTN AM 40  464287390      2,195,381      56,655       X        28-5284     55655               1000
                                                           1,951,915      50,372       X      X 28-5284     49272      720       380
                                                             207,313       5,350       X      X 28-4580      5350
ISHARES TR                   S&P 500 VALUE  464287408     14,520,927     242,622       X        28-5284    233065               9557
                                                          16,461,084     275,039       X      X 28-5284    262439      400     12200
                                                             139,271       2,327       X        28-4580      2327
                                                             239,400       4,000       X      X 28-4580      2000               2000
ISHARES TR                   20+ YR TRS BD  464287432      6,721,868      70,846       X        28-5284     70846
                                                             251,432       2,650       X      X 28-5284      2650
ISHARES TR                   7-10 YR TRS BD 464287440      5,353,880      60,183       X        28-5284     60183
                                                           1,050,440      11,808       X      X 28-5284     11808
                                                              28,823         324       X        28-4580       324
ISHARES TR                   1-3 YR TRS BD  464287457     25,177,798     301,314       X        28-5284    295607               5707
                                                           3,570,017      42,724       X      X 28-5284     39586       70      3068
                                                             562,860       6,736       X        28-4580      6736
ISHARES TR                   MSCI EAFE IDX  464287465    263,764,149   4,684,976       X        28-5284   4578346             106630
                                                         168,135,671   2,986,424       X      X 28-5284   2816910    20278    149236
                                                           3,458,791      61,435       X        28-11135    61435
                                                           2,546,562      45,232       X        28-4580     45232
                                                           2,640,583      46,902       X      X 28-4580     40202     6700
   COLUMN TOTAL                                          584,777,139








                                                                                                                    FILE NO. 28-1235
PAGE 112 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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 MCP VL 464287473     20,879,835     532,513       X        28-5284    514957              17556
                                                           7,986,175     203,677       X      X 28-5284    190687              12990
                                                             282,430       7,203       X        28-4580      7203
                                                             151,390       3,861       X      X 28-4580      3861
ISHARES TR                   RUSSELL MCP GR 464287481     24,478,195     564,521       X        28-5284    545311              19210
                                                          11,970,541     276,067       X      X 28-5284    259121     6206     10740
                                                             570,978      13,168       X        28-4580     13168
                                                             317,056       7,312       X      X 28-4580      7312
ISHARES TR                   RUSSELL MIDCAP 464287499     31,593,642     384,538       X        28-5284    378004               6534
                                                           8,998,245     109,521       X      X 28-5284    107133      845      1543
                                                             546,857       6,656       X        28-4580      6656
                                                             323,217       3,934       X      X 28-4580      3934
ISHARES TR                   S&P MIDCAP 400 464287507     34,432,723     475,853       X        28-5284    386203              89650
                                                          21,207,341     293,081       X      X 28-5284    280334     3718      9029
                                                              62,302         861       X        28-4580       861
                                                             272,797       3,770       X      X 28-4580       370     3400
ISHARES TR                   S&P NA SOFTWR  464287515        205,920       4,680       X        28-5284      4680
                                                              46,420       1,055       X      X 28-5284      1055
ISHARES TR                   S&P NA SEMICND 464287523        153,484       3,786       X        28-5284      3786
                                                              12,162         300       X      X 28-5284       300
                                                               6,122         151       X        28-4580       151
ISHARES TR                   S&P NA TECH FD 464287549        191,226       4,200       X      X 28-5284      4200
ISHARES TR                   NASDQ BIO INDX 464287556      2,956,053      36,333       X        28-5284     36333
                                                           1,563,332      19,215       X      X 28-5284     19215
                                                              52,803         649       X        28-4580       649
                                                               9,682         119       X      X 28-4580       119
ISHARES TR                   COHEN&ST RLTY  464287564     23,299,295     303,851       X        28-5284    302471               1380
                                                           8,264,647     107,781       X      X 28-5284    106005      140      1636
                                                              24,078         314       X        28-4580       314
                                                              19,400         253       X      X 28-4580       253
ISHARES TR                   S&P GLB100INDX 464287572         21,742         350       X        28-5284       350
                                                              18,636         300       X      X 28-5284       300
   COLUMN TOTAL                                          200,918,726








                                                                                                                    FILE NO. 28-1235
PAGE 113 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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                   RUSSELL1000VAL 464287598     57,987,842     907,620       X        28-5284    875877              31743
                                                          11,611,113     181,736       X      X 28-5284    180046               1690
                                                           3,991,144      62,469       X        28-11135    62469
                                                             109,380       1,712       X        28-4580      1712
                                                             310,378       4,858       X      X 28-4580      4858
ISHARES TR                   S&P MC 400 GRW 464287606      8,346,399     111,315       X        28-5284    110947                368
                                                           6,332,286      84,453       X      X 28-5284     80547      752      3154
                                                              92,975       1,240       X        28-4580      1240
                                                             116,069       1,548       X      X 28-4580      1548
ISHARES TR                   RUSSELL1000GRW 464287614     84,957,985   1,749,907       X        28-5284   1591430             158477
                                                          30,110,807     620,202       X      X 28-5284    497556             122646
                                                           1,175,347      24,209       X        28-11135    24209
                                                           2,034,876      41,913       X        28-4580     41913
                                                             629,548      12,967       X      X 28-4580     12068                899
ISHARES TR                   RUSSELL 1000   464287622     56,439,373     887,970       X        28-5284    887970
                                                           3,480,673      54,762       X      X 28-5284     53929      353       480
                                                             752,805      11,844       X        28-4580     11844
                                                           1,309,272      20,599       X      X 28-4580     20599
ISHARES TR                   RUSL 2000 VALU 464287630     17,218,349     256,073       X        28-5284    253531               2542
                                                           7,913,408     117,689       X      X 28-5284    116280               1409
                                                             500,266       7,440       X        28-11135     7440
                                                             223,573       3,325       X        28-4580      3325
                                                             147,659       2,196       X      X 28-4580      2196
ISHARES TR                   RUSL 2000 GROW 464287648     19,019,219     269,013       X        28-5284    262332               6681
                                                           9,457,327     133,767       X      X 28-5284    128819     1638      3310
                                                             445,976       6,308       X        28-11135     6308
                                                             269,791       3,816       X        28-4580      3816
                                                             101,101       1,430       X      X 28-4580      1430
ISHARES TR                   RUSSELL 2000   464287655     69,361,904   1,020,028       X        28-5284   1008632              11396
                                                          26,579,160     390,870       X      X 28-5284    378484     2495      9891
                                                           1,159,672      17,054       X        28-11135    17054
                                                           1,097,724      16,143       X        28-4580     16143
                                                           1,174,564      17,273       X      X 28-4580     13473     3800
ISHARES TR                   RUSL 3000 VALU 464287663      2,502,210      29,870       X        28-5284     29870
                                                              34,094         407       X      X 28-5284       407
   COLUMN TOTAL                                          426,994,269








                                                                                                                    FILE NO. 28-1235
PAGE 114 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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                   RUSL 3000 GROW 464287671        317,738       8,087       X        28-5284      8087
                                                              85,063       2,165       X      X 28-5284      2165
ISHARES TR                   RUSSELL 3000   464287689     12,165,993     176,857       X        28-5284    176677                180
                                                           4,405,518      64,043       X      X 28-5284     63843                200
                                                              33,363         485       X        28-4580       485
ISHARES TR                   DJ US UTILS    464287697        278,699       3,535       X        28-5284      3535
                                                             523,182       6,636       X      X 28-5284      6461      100        75
                                                              15,768         200       X        28-4580       200
                                                               4,021          51       X      X 28-4580        51
ISHARES TR                   S&P MIDCP VALU 464287705     20,230,158     294,471       X        28-5284    294081                390
                                                           2,901,064      42,228       X      X 28-5284     40039      168      2021
                                                             145,850       2,123       X        28-4580      2123
ISHARES TR                   DJ US TELECOMM 464287713        787,545      38,662       X        28-5284     38326                336
                                                             301,985      14,825       X      X 28-5284     14550      275
                                                              26,481       1,300       X        28-4580      1300
                                                               5,500         270       X      X 28-4580       270
ISHARES TR                   DJ US TECH SEC 464287721      4,482,514      94,508       X        28-5284     93409               1099
                                                           4,337,379      91,448       X      X 28-5284     90666      507       275
ISHARES TR                   DJ US REAL EST 464287739      3,645,014      58,838       X        28-5284     58648                190
                                                           1,873,802      30,247       X      X 28-5284     30247
                                                               7,000         113       X      X 28-4580       113
ISHARES TR                   DJ US INDUSTRL 464287754         45,936         800       X        28-5284       800
ISHARES TR                   DJ US HEALTHCR 464287762      4,279,380      69,000       X        28-5284     68940                 60
                                                           2,689,001      43,357       X      X 28-5284     41657               1700
ISHARES TR                   DJ US FINL SVC 464287770      1,170,682      15,835       X        28-5284     14305               1530
                                                             742,849      10,048       X      X 28-5284      8548      200      1300
                                                               6,358          86       X        28-11135       86
ISHARES TR                   DJ US FINL SEC 464287788      1,537,610      22,143       X        28-5284     21687                456
                                                           1,010,769      14,556       X      X 28-5284     14031                525
                                                              21,526         310       X        28-4580       310
   COLUMN TOTAL                                           68,077,748








                                                                                                                    FILE NO. 28-1235
PAGE 115 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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 ENERGY   464287796        408,841      10,885       X        28-5284     10885
                                                             401,930      10,701       X      X 28-5284     10401                300
                                                              56,340       1,500       X      X 28-4580      1500
ISHARES TR                   S&P SMLCAP 600 464287804     17,076,454     286,951       X        28-5284    269154              17797
                                                          12,314,999     206,940       X      X 28-5284    201597     1525      3818
                                                             127,708       2,146       X        28-4580      2146
                                                              42,252         710       X      X 28-4580       710
ISHARES TR                   CONS GOODS IDX 464287812        281,285       4,900       X        28-5284      4900
                                                              57,405       1,000       X      X 28-5284      1000
                                                                 746          13       X        28-11135       13
ISHARES TR                   DJ US BAS MATL 464287838        453,331       7,949       X        28-5284      7949
                                                             262,623       4,605       X      X 28-5284      4250       80       275
ISHARES TR                   DJ US INDEX FD 464287846        470,091       8,227       X        28-5284      8227
                                                             273,872       4,793       X      X 28-5284      4793
ISHARES TR                   S&P EURO PLUS  464287861      4,677,571     117,350       X        28-5284    113748               3602
                                                           1,467,964      36,828       X      X 28-5284     36828
                                                             711,262      17,844       X        28-4580     17844
                                                           1,910,091      47,920       X      X 28-4580     47920
ISHARES TR                   S&P SMLCP VALU 464287879      6,094,665      93,692       X        28-5284     63044              30648
                                                           2,154,846      33,126       X      X 28-5284     30786       75      2265
                                                             120,473       1,852       X        28-4580      1852
ISHARES TR                   S&P SMLCP GROW 464287887      8,633,141     140,582       X        28-5284    136173               4409
                                                           6,507,065     105,961       X      X 28-5284    104168       88      1705
                                                              80,079       1,304       X        28-4580      1304
                                                              11,177         182       X      X 28-4580       182
ISHARES TR                   S&P GLBIDX ETF 464288224          2,007          55       X        28-5284        55
ISHARES TR                   S&P NUCIDX ETF 464288232          2,975          85       X        28-5284        85
ISHARES TR                   MSCI ACWI EX   464288240         19,077         478       X        28-5284       478
ISHARES TR                   JPMORGAN USD   464288281          9,675         105       X      X 28-5284       105
ISHARES TR                   S&P GLO INFRAS 464288372          2,188          60       X        28-5284        60
                                                              18,235         500       X      X 28-5284                          500
   COLUMN TOTAL                                           64,650,368








                                                                                                                    FILE NO. 28-1235
PAGE 116 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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&P NATL MUN B 464288414     14,864,297     152,752       X        28-5284    147570               5182
                                                           4,091,399      42,045       X      X 28-5284     39911               2134
                                                             437,506       4,496       X      X 28-4580      4496
ISHARES TR                   HIGH YLD CORP  464288513         25,666         313       X        28-5284       313
                                                              61,992         756       X        28-11135      756
ISHARES TR                   LEHMAN INTER G 464288612        608,696       6,090       X        28-5284      6090
ISHARES TR                   LEHMAN 1-3 YR  464288646         85,434         874       X      X 28-5284       874
ISHARES TR                   LEHMAN 3-7 YR  464288661         54,415         500       X        28-5284       500
ISHARES TR                   US PFD STK IDX 464288687        186,702       6,574       X        28-5284       532               6042
ISHARES TR                   S&G GL MATERIA 464288695         30,924         575       X      X 28-5284       375                200
ISHARES TR                   DJ HOME CONSTN 464288752          3,592         200       X        28-5284       200
ISHARES TR                   DJ AEROSPACE   464288760          2,802          55       X      X 28-5284        55
ISHARES TR                   DJ REGIONAL BK 464288778        109,908       3,440       X        28-5284      3440
ISHARES TR                   DJ BROKER-DEAL 464288794         90,118       3,140       X        28-5284      3140
ISHARES TR                   KLD SL SOC INX 464288802      7,502,607     148,185       X        28-5284    143585               4600
                                                           1,079,989      21,331       X      X 28-5284     17831               3500
ISHARES TR                   DJ MED DEVICES 464288810          2,295          40       X        28-5284        40
ISHARES TR                   DJ PHARMA INDX 464288836         26,759         546       X        28-4580       546
ISHARES TR                   DJ OIL EQUIP   464288844         75,814       1,465       X        28-5284      1465
ISHARES TR                   DJ OIL&GAS EXP 464288851         23,736         425       X        28-5284       425
ISHARES TR                   MSCI VAL IDX   464288877      2,133,511      42,298       X        28-5284     42298
                                                           1,275,527      25,288       X      X 28-5284     25288
ISHARES TR                   MSCI GRW IDX   464288885      5,267,160      93,061       X        28-5284     92380                681
                                                           3,862,316      68,240       X      X 28-5284     67249                991
   COLUMN TOTAL                                           41,903,165








                                                                                                                    FILE NO. 28-1235
PAGE 117 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
ISIS PHARMACEUTICALS INC     COM            464330109         74,316       4,400       X        28-5284      4400
                                                             344,556      20,400       X      X 28-5284     19500                900
ITERIS INC                   COM            46564T107        352,713     178,138       X      X 28-5284             178138
ITC HLDGS CORP               COM            465685105         32,356         625       X      X 28-5284       625
                                                              16,359         316       X        28-11135      316
ITRON INC                    COM            465741106         49,577         560       X        28-5284       250                310
                                                             295,513       3,338       X        28-11135     3338
I2 TECHNOLOGIES INC          COM NEW        465754208        287,297      21,297       X        28-11135    21297
J & J SNACK FOODS CORP       COM            466032109          4,069         120       X        28-5284                          120
JA SOLAR HOLDINGS CO LTD     SPON ADR       466090107         12,648       1,200       X        28-5284      1200
                                                           1,133,682     107,560       X      X 28-5284    107560
J CREW GROUP INC             COM            46612H402          4,400         154       X        28-5284       154
JDS UNIPHASE CORP            COM PAR $0.001 46612J507          2,346         277       X        28-5284       277
                                                               1,211         143       X      X 28-5284       143
                                                                  68           8       X        28-11135        8
JER INVT TR INC              COM            46614H301          1,928         400       X        28-5284       400
JPMORGAN & CHASE & CO        COM            46625H100    111,870,177   2,395,507       X        28-5284   2292206     1128    102173
                                                          97,941,295   2,097,244       X      X 28-5284   1887955    18108    191181
                                                             756,353      16,196       X        28-11135    16196
                                                          10,927,800     234,000       X        28-1500    234000
                                                           1,902,044      40,729       X        28-4580     39961                768
                                                             999,894      21,411       X      X 28-4580     20362     1049
J2 GLOBAL COMMUNICATIONS INC COM NEW        46626E205         48,731       2,087       X        28-11135     2087
JABIL CIRCUIT INC            COM            466313103      3,518,028     368,766       X        28-5284    322610              46156
                                                             367,156      38,486       X      X 28-5284     31787               6699
JACK IN THE BOX INC          COM            466367109         10,128         480       X        28-5284                          480
   COLUMN TOTAL                                          230,954,645








                                                                                                                    FILE NO. 28-1235
PAGE 118 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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      4,059,564      74,748       X        28-5284     71122               3626
                                                           3,714,641      68,397       X      X 28-5284     56297      200     11900
                                                             249,500       4,594       X        28-11135     4594
                                                               7,495         138       X        28-4580       138
                                                              36,931         680       X      X 28-4580       680
JAKKS PAC INC                COM            47012E106          5,729         230       X        28-5284                          230
                                                               1,968          79       X        28-11135       79
JANUS CAP GROUP INC          COM            47102X105         42,247       1,740       X        28-5284                         1740
                                                               8,498         350       X      X 28-5284                          350
JARDEN CORP                  COM            471109108        635,495      27,100       X      X 28-5284     27000                100
                                                              58,953       2,514       X        28-11135     2514
                                                              46,900       2,000       X        28-4580                         2000
JAVELIN PHARMACEUTICALS INC  COM            471894105         19,760       7,600       X        28-5284      7600
JEFFERIES GROUP INC NEW      COM            472319102          1,501          67       X        28-5284        67
                                                               2,800         125       X        28-11135      125
JOHN BEAN TECHNOLOGIES CORP  COM            477839104          7,166         566       X        28-5284       566
                                                                  25           2       X      X 28-5284         2
                                                              12,749       1,007       X        28-11135     1007
JOHNSON & JOHNSON            COM            478160104    284,744,333   4,110,051       X        28-5284   3946105             163946
                                                         273,279,602   3,944,567       X      X 28-5284   3590690    31033    322844
                                                           1,269,348      18,322       X        28-11135    18322
                                                           6,208,666      89,617       X        28-4580     88927                690
                                                           8,283,186     119,561       X      X 28-4580    117661               1900
JOHNSON CTLS INC             COM            478366107     15,383,073     507,190       X        28-5284    490636              16554
                                                          10,305,163     339,768       X      X 28-5284    309726     1235     28807
                                                             164,480       5,423       X        28-11135     5423
                                                              27,297         900       X        28-4580       900
                                                              77,614       2,559       X      X 28-4580      2559
JONES APPAREL GROUP INC      COM            480074103        122,259       6,605       X        28-5284       130               6475
                                                              16,659         900       X      X 28-5284       900
JONES SODA CO                COM            48023P106          1,420       1,000       X        28-5284      1000
                                                               1,491       1,050       X      X 28-5284      1050
   COLUMN TOTAL                                          608,796,513








                                                                                                                    FILE NO. 28-1235
PAGE 119 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
JOS A BANK CLOTHIERS INC     COM            480838101         88,200       2,625       X        28-5284       625               2000
                                                              53,760       1,600       X      X 28-5284      1600
JOY GLOBAL INC               COM            481165108        114,024       2,526       X        28-5284      2242                284
                                                           1,219,909      27,025       X      X 28-5284     26825                200
                                                               4,063          90       X        28-11135       90
JUNIPER NETWORKS INC         COM            48203R104        138,156       6,557       X        28-5284      6557
                                                             133,478       6,335       X      X 28-5284      6335
                                                             138,114       6,555       X        28-11135     6555
KBR INC                      COM            48242W106         85,359       5,590       X        28-5284      5590
                                                             251,726      16,485       X      X 28-5284     12303               4182
                                                                 382          25       X        28-11135       25
KBW INC                      COM            482423100         65,880       2,000       X        28-5284      2000
                                                               6,588         200       X      X 28-5284       200
KHD HUMBOLDT WEDAG INTL LTD  COM            482462108          3,836         200       X        28-5284       200
KKR FINANCIAL HLDGS LLC      COM            48248A306          3,180         500       X      X 28-5284                          500
KLA-TENCOR CORP              COM            482480100          4,937         156       X        28-5284       156
                                                              66,940       2,115       X      X 28-5284       100               2015
                                                             486,809      15,381       X        28-11135    15381
KT CORP                      SPONSORED ADR  48268K101          2,015         120       X        28-5284       120
K SEA TRANSN PARTNERS LP     COM            48268Y101         10,055         500       X        28-5284       500
K-SWISS INC                  CL A           482686102          3,828         220       X        28-5284                          220
K TRON INTL INC              COM            482730108         19,196         149       X        28-5284       149
                                                             628,175       4,876       X      X 28-5284      1786               3090
K V PHARMACEUTICAL CO        CL A           482740206          6,813         300       X        28-5284       300
                                                              49,417       2,176       X        28-11135     2176
KAMAN CORP                   COM            483548103          5,981         210       X        28-5284                          210
KANSAS CITY SOUTHERN         COM NEW        485170302          4,436         100       X        28-5284       100
                                                             555,609      12,525       X      X 28-5284      1325              11200
                                                              13,530         305       X        28-11135      305
   COLUMN TOTAL                                            4,164,396








                                                                                                                    FILE NO. 28-1235
PAGE 120 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
KAPSTONE PAPER & PACKAGING C COM            48562P103          6,350       1,000       X        28-5284      1000
KAYDON CORP                  COM            486587108            901          20       X        28-5284        20
                                                              11,265         250       X      X 28-5284       250
                                                             308,165       6,839       X        28-11135     6839
KAYNE ANDERSON ENRGY TTL RT  COM            48660P104         26,592       1,200       X        28-5284      1200
                                                              35,456       1,600       X      X 28-5284      1600
KAYNE ANDERSON ENERGY DEV CO COM            48660Q102         20,316       1,200       X      X 28-5284      1200
KAYNE ANDERSON MLP INVSMNT C COM            486606106        299,145      12,950       X      X 28-5284     12950
                                                              28,736       1,244       X      X 28-4580      1244
KB HOME                      COM            48666K109        194,104       9,863       X        28-5284       350               9513
                                                               9,840         500       X      X 28-5284       500
KEITHLEY INSTRS INC          COM            487584104            670          80       X        28-5284                           80
KELLOGG CO                   COM            487836108      3,190,575      56,873       X        28-5284     51539               5334
                                                           2,677,092      47,720       X      X 28-5284     44198      125      3397
                                                              42,973         766       X        28-11135      766
                                                              93,968       1,675       X        28-4580      1675
                                                              67,320       1,200       X      X 28-4580                         1200
KEMET CORP                   COM            488360108          1,360       1,000       X        28-5284      1000
KENEXA CORP                  COM            488879107        117,572       7,446       X        28-11135     7446
KENNAMETAL INC               COM            489170100         28,910       1,066       X        28-5284      1066
                                                             589,318      21,730       X      X 28-5284     21730
KENSEY NASH CORP             COM            490057106             31           1       X        28-11135        1
KEYCORP NEW                  COM            493267108        340,481      28,516       X        28-5284     18092              10424
                                                              40,035       3,353       X      X 28-5284      2728      425       200
                                                           2,153,976     180,400       X        28-1500    180400
KEYCORP NEW                  PFD 7.75% SR A 493267405          4,251          50       X      X 28-5284                           50
KEYNOTE SYS INC              COM            493308100         47,700       3,600       X      X 28-5284               3600
   COLUMN TOTAL                                           10,337,102








                                                                                                                    FILE NO. 28-1235
PAGE 121 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
KILROY RLTY CORP             COM            49427F108         13,381         280       X        28-5284                          280
                                                              18,638         390       X      X 28-5284       390
                                                               1,816          38       X        28-11135       38
KIMBERLY CLARK CORP          COM            494368103     24,941,419     384,661       X        28-5284    365171              19490
                                                          34,032,571     524,870       X      X 28-5284    511061     4400      9409
                                                             884,158      13,636       X        28-11135    13636
                                                              91,295       1,408       X        28-4580      1408
                                                             469,831       7,246       X      X 28-4580      7246
KIMCO REALTY CORP            COM            49446R109      1,397,292      37,826       X        28-5284     37826
                                                           2,007,283      54,339       X      X 28-5284     46939               7400
                                                              18,950         513       X        28-11135      513
                                                             138,525       3,750       X      X 28-4580      3750
KINDER MORGAN MANAGEMENT LLC SHS            49455U100         44,280         900       X        28-5284       900
                                                              31,537         641       X      X 28-5284       641
KINDER MORGAN ENERGY PARTNER UT LTD PARTNER 494550106      2,472,153      47,514       X        28-5284     47514
                                                           6,700,944     128,790       X      X 28-5284    119685     2200      6905
KINETIC CONCEPTS INC         COM NEW        49460W208      5,097,311     178,290       X        28-5284    159590              18700
                                                             604,164      21,132       X      X 28-5284     17334               3798
KING PHARMACEUTICALS INC     COM            495582108          1,399         146       X        28-5284       146
                                                             191,600      20,000       X      X 28-5284     20000
KINROSS GOLD CORP            COM NO PAR     496902404         29,016       1,800       X        28-5284      1800
                                                              25,792       1,600       X      X 28-5284      1600
KIRBY CORP                   COM            497266106         72,010       1,898       X        28-5284                         1898
KNIGHT CAPITAL GROUP INC     CL A           499005106          2,170         146       X        28-5284       146
KNIGHT TRANSN INC            COM            499064103         50,401       2,970       X        28-5284      2970
KNOLOGY INC                  COM            499183804        651,830      80,772       X        28-5284         5              80767
KNOT INC                     COM            499184109            835         100       X        28-5284       100
                                                              29,643       3,550       X      X 28-5284      3550
   COLUMN TOTAL                                           80,020,244








                                                                                                                    FILE NO. 28-1235
PAGE 122 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
KOHLS CORP                   COM            500255104      9,024,814     195,851       X        28-5284    179666              16185
                                                           2,405,422      52,201       X      X 28-5284     43558               8643
                                                             639,729      13,883       X        28-11135    13883
KONGZHONG CORP               SPONSORED ADR  50047P104          7,440       2,000       X        28-4580      2000
KONINKLIJKE PHILIPS ELECTRS  NY REG SH NEW  500472303        193,148       7,088       X        28-5284      7088
                                                             131,836       4,838       X      X 28-5284      1458               3380
                                                               2,398          88       X        28-11135       88
KOPPERS HOLDINGS INC         COM            50060P106         18,705         500       X        28-5284       500
                                                             599,420      16,023       X      X 28-5284     16023
KOPIN CORP                   COM            500600101          1,279         410       X        28-5284                          410
KOREA ELECTRIC PWR           SPONSORED ADR  500631106         49,560       4,000       X      X 28-5284      4000
                                                                 855          69       X        28-11135       69
KOREA FD                     COM            500634100          1,542         100       X        28-5284       100
KORN FERRY INTL              COM NEW        500643200         21,384       1,200       X        28-5284      1200
                                                              73,953       4,150       X      X 28-5284      4150
KRAFT FOODS INC              CL A           50075N104     21,122,997     644,977       X        28-5284    624287              20690
                                                          94,484,110   2,885,011       X      X 28-5284   2829978     4586     50447
                                                             808,630      24,691       X        28-11135    24691
                                                             912,612      27,866       X        28-4580     26413               1453
                                                             682,608      20,843       X      X 28-4580     20843
KRISPY KREME DOUGHNUTS INC   COM            501014104          4,290       1,300       X      X 28-5284      1300
KROGER CO                    COM            501044101        835,447      30,402       X        28-5284     30402
                                                             769,852      28,015       X      X 28-5284     28015
                                                              86,535       3,149       X        28-11135     3149
                                                              13,740         500       X        28-4580       500
KUBOTA CORP                  ADR            501173207          2,826          90       X        28-5284        90
                                                                 471          15       X      X 28-5284        15
KULICKE & SOFFA INDS INC     COM            501242101          4,104         910       X        28-5284       500                410
KYOCERA CORP                 ADR            501556203         12,871         169       X        28-5284       169
                                                              23,076         303       X        28-11135      303
   COLUMN TOTAL                                          132,935,654








                                                                                                                    FILE NO. 28-1235
PAGE 123 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
LCA-VISION INC               COM PAR $.001  501803308         27,840       6,000       X      X 28-5284               6000
LCC INTERNATIONAL INC        CL A           501810105          5,115     102,295       X      X 28-5284             102295
LDK SOLAR CO LTD             SPONSORED ADR  50183L107          3,002         100       X        28-5284       100
                                                              57,038       1,900       X      X 28-5284       400               1500
                                                                 540          18       X        28-4580        18
LKQ CORP                     COM            501889208         47,516       2,800       X      X 28-5284      2800
LL & E RTY TR                UNIT BEN INT   502003106          3,480       2,000       X      X 28-5284      2000
LMI AEROSPACE INC            COM            502079106         10,055         500       X        28-5284       500
LNB BANCORP INC              COM            502100100          2,044         280       X        28-5284       280
LSB CORP                     COM            50215P100        181,050      17,000       X      X 28-5284     17000
LSB INDS INC                 COM            502160104         22,160       1,600       X      X 28-5284      1600
LSI CORPORATION              COM            502161102         48,363       9,023       X        28-5284      9023
                                                              22,035       4,111       X      X 28-5284      4086                 25
                                                                  11           2       X        28-11135        2
                                                                 391          73       X        28-4580        73
LTC PPTYS INC                COM            502175102         61,103       2,084       X        28-11135     2084
LTX-CREDENCE CORP            COM            502403108          1,977       1,136       X        28-5284      1136
L-3 COMMUNICATIONS HLDGS INC COM            502424104      3,312,204      33,688       X        28-5284     24313               9375
                                                           1,515,603      15,415       X      X 28-5284      7815               7600
                                                             532,403       5,415       X        28-11135     5415
LA Z BOY INC                 COM            505336107          3,355         360       X        28-5284                          360
LABORATORY CORP AMER HLDGS   COM NEW        50540R409        168,329       2,422       X        28-5284      2422
                                                             840,950      12,100       X      X 28-5284      8800               3300
                                                             679,154       9,772       X        28-11135     9772
                                                              69,987       1,007       X      X 28-4580      1007
LACLEDE GROUP INC            COM            505597104         76,614       1,580       X        28-5284      1400                180
                                                              19,396         400       X      X 28-5284       400
   COLUMN TOTAL                                            7,711,715








                                                                                                                    FILE NO. 28-1235
PAGE 124 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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          9,000       5,000       X        28-5284      5000
LADISH INC                   COM NEW        505754200         10,125         500       X        28-5284       500
LAKELAND BANCORP INC         COM            511637100        208,246      17,814       X        28-5284     17814
LAKELAND FINL CORP           COM            511656100        259,238      11,805       X        28-11135    11805
LAM RESEARCH CORP            COM            512807108        567,544      18,023       X        28-5284     18023
                                                             377,471      11,987       X      X 28-5284     11837                150
                                                               2,425          77       X        28-11135       77
                                                              86,503       2,747       X        28-4580      2747
LAMAR ADVERTISING CO         CL A           512815101          1,174          38       X        28-5284        38
                                                             169,895       5,500       X      X 28-5284      5500
LANCE INC                    COM            514606102          5,673         250       X        28-5284                          250
LANDAUER INC                 COM            51476K103         10,913         150       X        28-5284       150
                                                              41,831         575       X      X 28-5284       575
LANDAMERICA FINL GROUP INC   COM            514936103         22,456         926       X        28-5284                          926
                                                               2,716         112       X      X 28-5284       112
LANDSTAR SYS INC             COM            515098101         19,386         440       X        28-5284                          440
                                                                 220           5       X      X 28-5284         5
                                                              11,059         251       X        28-11135      251
LAS VEGAS SANDS CORP         COM            517834107      1,166,064      32,292       X        28-5284     29082               3210
                                                              33,402         925       X      X 28-5284       720       75       130
                                                               2,347          65       X        28-4580        65
LASALLE HOTEL PPTYS          COM SH BEN INT 517942108        224,921       9,645       X        28-5284      9645
                                                              13,292         570       X      X 28-5284       570
LATIN AMER EQUITY FD INC NEW COM            51827Q106          2,478          75       X        28-5284        75
LAUDER ESTEE COS INC         CL A           518439104        298,562       5,982       X        28-5284      4382               1600
                                                               3,394          68       X      X 28-5284        68
LAWSON PRODS INC             COM            520776105          1,383          50       X        28-5284                           50
   COLUMN TOTAL                                            3,551,718








                                                                                                                    FILE NO. 28-1235
PAGE 125 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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         17,715         500       X      X 28-5284       500
                                                             238,160       6,722       X        28-11135     6722
LEADIS TECHNOLOGY INC        COM            52171N103        135,788     181,050       X      X 28-5284             181050
LEAPFROG ENTERPRISES INC     CL A           52186N106          1,045          99       X        28-11135       99
LEAP WIRELESS INTL INC       COM NEW        521863308          1,143          30       X        28-5284        30
                                                               1,372          36       X        28-11135       36
LEAR CORP                    COM            521865105            714          68       X        28-5284        68
LEE ENTERPRISES INC          COM            523768109          4,897       1,399       X        28-5284      1399
LEGGETT & PLATT INC          COM            524660107         48,810       2,240       X        28-5284                         2240
                                                           1,034,371      47,470       X      X 28-5284     45775               1695
LEGACY RESERVES LP           UNIT LP INT    524707304         15,625         910       X      X 28-5284       910
LEGG MASON INC               COM            524901105      2,186,813      57,457       X        28-5284     42815              14642
                                                           2,157,583      56,689       X      X 28-5284     43135      425     13129
                                                               7,993         210       X        28-4580       210
                                                               5,709         150       X      X 28-4580       150
LEHMAN BROS HLDGS INC        COM            524908100          1,622       7,542       X        28-5284      7342                200
                                                               3,008      13,990       X      X 28-5284     10230               3760
                                                                   9          44       X        28-11135       44
                                                                 168         780       X      X 28-4580       780
LEHMAN BR FIRST TR INCM OPP  COM            525178109         28,886       3,675       X      X 28-5284      1675               2000
LENDER PROCESSING SVCS INC   COM            52602E102         38,119       1,249       X        28-5284      1249
                                                           1,371,538      44,939       X      X 28-5284     44939
LENNAR CORP                  CL A           526057104        106,421       7,006       X        28-5284       329               6677
                                                               7,625         502       X      X 28-5284       502
LENNOX INTL INC              COM            526107107         15,970         480       X        28-5284                          480
                                                                 166           5       X      X 28-5284         5
                                                               8,683         261       X        28-11135      261
   COLUMN TOTAL                                            7,439,953








                                                                                                                    FILE NO. 28-1235
PAGE 126 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
LEUCADIA NATL CORP           COM            527288104        383,832       8,447       X        28-5284      8447
                                                           7,864,755     173,080       X      X 28-5284    147180    22000      3900
                                                              79,520       1,750       X        28-4580                         1750
LEVEL 3 COMMUNICATIONS INC   COM            52729N100         11,470       4,248       X        28-5284      4248
                                                             140,400      52,000       X      X 28-5284     52000
LEXINGTON REALTY TRUST       COM            529043101         43,222       2,510       X        28-5284      2510
                                                             869,334      50,484       X      X 28-5284     36859              13625
LEXMARK INTL NEW             CL A           529771107         74,911       2,300       X        28-5284                         2300
                                                               9,380         288       X      X 28-5284       288
LIBBEY INC                   COM            529898108            936         110       X        28-5284                          110
                                                               8,510       1,000       X      X 28-5284      1000
LIBERTY ALL STAR EQUITY FD   SH BEN INT     530158104         13,530       3,000       X      X 28-5284                         3000
LIBERTY GLOBAL INC           COM SER A      530555101        433,139      14,295       X        28-5284      4679               9616
                                                           1,530,726      50,519       X      X 28-5284     41503               9016
                                                               1,515          50       X        28-11135       50
LIBERTY GLOBAL INC           COM SER C      530555309        780,565      27,788       X        28-5284      6219              21569
                                                           1,651,692      58,800       X      X 28-5284     39753      217     18830
                                                               1,405          50       X        28-11135       50
LIBERTY MEDIA CORP NEW       INT COM SER A  53071M104        582,460      45,117       X        28-5284     10217              34900
                                                           1,234,054      95,589       X      X 28-5284     75653     1086     18850
                                                               2,879         223       X        28-11135      223
LIBERTY MEDIA CORP NEW       CAP COM SER A  53071M302        244,158      18,248       X        28-5284      3973              14275
                                                             788,858      58,958       X      X 28-5284     54287      217      4454
                                                                 589          44       X        28-11135       44
                                                              53,520       4,000       X        28-4580                         4000
LIBERTY MEDIA CORP NEW       ENT COM SER A  53071M500      1,481,370      59,326       X        28-5284     12926              46400
                                                           1,882,838      75,404       X      X 28-5284     59456      868     15080
                                                               4,395         176       X        28-11135      176
LIBERTY MEDIA CORP           DEB   3.250% 3 530715AR2        470,000      10,000       X        28-5284     10000
LIBERTY PPTY TR              SH BEN INT     531172104         49,547       1,316       X        28-5284      1316
                                                             905,821      24,059       X      X 28-5284     24059
   COLUMN TOTAL                                           21,599,331








                                                                                                                    FILE NO. 28-1235
PAGE 127 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
LIFE SCIENCES RESH INC       COM            532169109            323           9       X        28-11135        9
LIFE TIME FITNESS INC        COM            53217R207         45,342       1,450       X      X 28-5284      1450
LIFEPOINT HOSPITALS INC      COM            53219L109         41,428       1,289       X        28-5284      1258                 31
                                                               6,557         204       X      X 28-5284       204
LIGAND PHARMACEUTICALS INC   CL B           53220K207            215          73       X        28-11135       73
LIHIR GOLD LTD               SPONSORED ADR  532349107          1,296          62       X        28-5284        62
LILLY ELI & CO               COM            532457108     20,550,606     466,741       X        28-5284    439562      977     26202
                                                          21,090,458     479,002       X      X 28-5284    428651              50351
                                                               6,957         158       X        28-11135      158
                                                              92,067       2,091       X        28-4580      2091
                                                             501,722      11,395       X      X 28-4580     11395
LIMITED BRANDS INC           COM            532716107        181,652      10,488       X        28-5284      1688               8800
                                                               2,286         132       X      X 28-5284                          132
                                                             645,031      37,242       X        28-11135    37242
LINCARE HLDGS INC            COM            532791100          4,514         150       X        28-5284       150
                                                              27,081         900       X      X 28-5284       900
                                                              11,224         373       X        28-11135      373
LINCOLN EDL SVCS CORP        COM            533535100         13,230       1,000       X        28-5284      1000
LINCOLN ELEC HLDGS INC       COM            533900106          6,431         100       X        28-5284       100
LINCOLN NATL CORP IND        COM            534187109      4,830,552     112,837       X        28-5284     90902              21935
                                                           6,808,374     159,037       X      X 28-5284    133286      678     25073
                                                              12,501         292       X        28-11135      292
LINDSAY CORP                 COM            535555106          7,275         100       X        28-5284                          100
LINEAR TECHNOLOGY CORP       COM            535678106      2,941,735      95,947       X        28-5284     93641               2306
                                                             385,182      12,563       X      X 28-5284     11863                700
                                                               1,533          50       X        28-11135       50
LIONS GATE ENTMNT CORP       COM NEW        535919203         49,140       5,400       X      X 28-5284      5400
LINN ENERGY LLC              UNIT LTD LIAB  536020100         20,502       1,340       X        28-5284      1340
                                                              36,720       2,400       X      X 28-5284       400               2000
   COLUMN TOTAL                                           58,321,934








                                                                                                                    FILE NO. 28-1235
PAGE 128 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
LIONBRIDGE TECHNOLOGIES INC  COM            536252109         12,200       5,000       X      X 28-5284               5000
LITTELFUSE INC               COM            537008104          5,946         200       X      X 28-5284       200
LIVE NATION INC              COM            538034109          1,334          82       X      X 28-5284        82
LIZ CLAIBORNE INC            COM            539320101        201,974      12,293       X        28-5284     10893               1400
                                                             245,793      14,960       X      X 28-5284     14710      250
LLOYDS TSB GROUP PLC         SPONSORED ADR  539439109         40,169       2,401       X        28-5284      2401
                                                             105,299       6,294       X      X 28-5284      6294
                                                               1,673         100       X        28-11135      100
LOCKHEED MARTIN CORP         COM            539830109     32,122,014     292,897       X        28-5284    279946              12951
                                                          19,634,110     179,029       X      X 28-5284    166846     1980     10203
                                                             578,948       5,279       X        28-11135     5279
                                                             392,509       3,579       X        28-4580      3579
                                                             124,475       1,135       X      X 28-4580      1135
LODGIAN INC                  COM PAR $.01   54021P403             78          10       X        28-5284        10
LOEWS CORP                   COM            540424108        134,898       3,416       X        28-5284      1596               1820
                                                             251,433       6,367       X      X 28-5284      1767               4600
                                                              72,030       1,824       X      X 28-4580      1824
LONGS DRUG STORES CORP       COM            543162101         15,128         200       X        28-5284                          200
LOOPNET INC                  COM            543524300         27,033       2,750       X      X 28-5284      2750
LORAL SPACE & COMMUNICATNS L COM            543881106            340          23       X        28-5284        23
LORILLARD INC                COM            544147101          1,067          15       X        28-5284        15
                                                                  71           1       X      X 28-5284         1
LOUISIANA PAC CORP           COM            546347105         34,782       3,740       X        28-5284      1300               2440
                                                              40,102       4,312       X      X 28-5284      4312
LOWES COS INC                COM            548661107     16,572,766     699,568       X        28-5284    670581              28987
                                                          10,137,212     427,911       X      X 28-5284    404113     1875     21923
                                                               8,884         375       X        28-11135      375
                                                             187,151       7,900       X        28-4580      7000                900
                                                              91,965       3,882       X      X 28-4580      3882
   COLUMN TOTAL                                           81,041,384








                                                                                                                    FILE NO. 28-1235
PAGE 129 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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        386,664       8,963       X        28-5284      6333               2630
                                                             383,817       8,897       X      X 28-5284      8785                112
LUCENT TECHNOLOGIES INC      DBCV  2.750% 6 549463AG2      2,578,209       3,000       X        28-11439     3000
LUFKIN INDS INC              COM            549764108         39,675         500       X      X 28-5284                          500
                                                              11,823         149       X        28-11135      149
LUMINEX CORP DEL             COM            55027E102         12,505         500       X        28-5284       500
                                                             240,721       9,625       X        28-11135     9625
LUNDIN MINING CORP           COM            550372106            849         285       X        28-5284       285
                                                             134,431      45,111       X        28-11135    45111
LUXOTTICA GROUP S P A        SPONSORED ADR  55068R202         29,289       1,274       X        28-5284      1274
LYDALL INC DEL               COM            550819106          1,252         130       X        28-5284                          130
M & F WORLDWIDE CORP         COM            552541104         40,000       1,000       X      X 28-5284               1000
M & T BK CORP                COM            55261F104      2,832,795      31,740       X        28-5284     31292                448
                                                           5,033,789      56,401       X      X 28-5284     53516               2885
                                                              40,163         450       X        28-4580       450
MBIA INC                     COM            55262C100        130,674      10,981       X        28-5284     10981
                                                             167,136      14,045       X      X 28-5284     14045
MB FINANCIAL INC NEW         COM            55264U108            496          15       X      X 28-5284                           15
M D C HLDGS INC              COM            552676108         95,866       2,620       X        28-5284                         2620
                                                              10,026         274       X      X 28-5284       274
MDU RES GROUP INC            COM            552690109        148,625       5,125       X        28-5284      5125
                                                             404,550      13,950       X      X 28-5284     13950
MEMC ELECTR MATLS INC        COM            552715104         67,457       2,387       X        28-5284      1497                890
                                                             124,344       4,400       X      X 28-5284      2900               1500
                                                             564,465      19,974       X        28-11135    19974
MFS CHARTER INCOME TR        SH BEN INT     552727109        119,123      16,216       X        28-5284     16216
                                                             117,007      15,928       X      X 28-5284      2128              13800
   COLUMN TOTAL                                           13,715,751








                                                                                                                    FILE NO. 28-1235
PAGE 130 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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         15,957       2,700       X        28-5284      2700
                                                              57,918       9,800       X      X 28-5284                         9800
MFS MULTIMARKET INCOME TR    SH BEN INT     552737108        171,500      34,300       X      X 28-5284      1000              33300
MFS MUN INCOME TR            SH BEN INT     552738106         33,720       6,000       X        28-5284      6000
                                                              11,240       2,000       X      X 28-5284                         2000
MDRNA INC                    COM            55276N100          1,170       3,000       X        28-5284      3000
MGE ENERGY INC               COM            55277P104         29,187         821       X        28-5284       821
                                                              49,770       1,400       X      X 28-5284      1400
MGIC INVT CORP WIS           COM            552848103          1,104         157       X        28-5284       157
                                                             274,522      39,050       X      X 28-5284     39050
MGM MIRAGE                   COM            552953101         94,250       3,307       X        28-5284      3307
                                                             141,645       4,970       X      X 28-5284      4970
MI DEVS INC                  CL A SUB VTG   55304X104          4,623         250       X      X 28-5284       250
MKS INSTRUMENT INC           COM            55306N104         82,627       4,150       X      X 28-5284      4150
MSC INDL DIRECT INC          CL A           553530106         25,339         550       X        28-5284       550
MTS SYS CORP                 COM            553777103        206,290       4,900       X        28-5284      4900
                                                             575,297      13,665       X      X 28-5284       425              13240
MVC CAPITAL INC              COM            553829102          7,625         500       X        28-5284       500
MACATAWA BK CORP             COM            554225102          6,990       1,000       X      X 28-5284      1000
MACERICH CO                  COM            554382101      1,050,543      16,505       X        28-5284     16505
                                                             143,531       2,255       X      X 28-5284      2255
MACK CALI RLTY CORP          COM            554489104        268,589       7,930       X        28-5284      7930
                                                             443,866      13,105       X      X 28-5284     12105               1000
MACKINAC FINL CORP           COM            554571109        131,750      25,000       X      X 28-5284     25000
MACQUARIE FT TR GB INF UT DI COM            55607W100         17,158       1,199       X        28-5284      1199
   COLUMN TOTAL                                            3,846,211








                                                                                                                    FILE NO. 28-1235
PAGE 131 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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         62,351       4,720       X        28-5284      4720
                                                              88,507       6,700       X      X 28-5284      6700
MACQUARIE GLBL INFRA TOTL RE COM            55608D101             91           6       X        28-5284         6
                                                                  46           3       X      X 28-5284                            3
MACROVISION SOLUTIONS CORP   COM            55611C108            738          48       X        28-5284        48
MACYS INC                    COM            55616P104      2,172,020     120,802       X        28-5284    107370              13432
                                                           1,565,662      87,078       X      X 28-5284     78666      900      7512
                                                              33,587       1,868       X        28-4580      1318                550
                                                               3,596         200       X      X 28-4580       200
MADDEN STEVEN LTD            COM            556269108         32,140       1,297       X        28-5284      1297
                                                               1,586          64       X        28-11135       64
MAG SILVER CORP              COM            55903Q104        422,250      75,000       X        28-5284     75000
                                                           1,280,825     227,500       X      X 28-5284    227500
MAGELLAN MIDSTREAM HLDGS LP  COM LP INTS    55907R108        162,351       9,450       X      X 28-5284      7750               1700
MAGELLAN MIDSTREAM PRTNRS LP COM UNIT RP LP 559080106        191,160       5,900       X        28-5284      5900
                                                             356,011      10,988       X      X 28-5284      6988     3400       600
MAGELLAN PETE CORP           COM            559091301        470,950     461,716       X      X 28-5284             461716
MAGMA DESIGN AUTOMATION      COM            559181102            595         148       X        28-5284       148
MAGNA ENTMT CORP             SUB VTG CL A N 559211305            700         400       X        28-5284       400
MAGNA INTL INC               CL A           559222401         46,071         900       X        28-5284       200                700
                                                              25,595         500       X      X 28-5284       500
MAGNETEK INC                 COM            559424106            891         220       X        28-5284                          220
                                                           1,603,359     395,891       X      X 28-5284             395891
MAGUIRE PPTYS INC            COM            559775101          4,410         740       X        28-5284       740
                                                               5,960       1,000       X      X 28-5284      1000
MAGYAR TELEKOM TELECOMMUNS P SPONSORED ADR  559776109          2,328         100       X      X 28-5284       100
MAINSOURCE FINANCIAL GP INC  COM            56062Y102         41,160       2,100       X        28-5284      2100
                                                              76,773       3,917       X        28-1500      3917
   COLUMN TOTAL                                            8,651,713








                                                                                                                    FILE NO. 28-1235
PAGE 132 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
MANAGEMENT NETWORK GROUP INC COM            561693102        566,370     629,300       X      X 28-5284             629300
MANHATTAN ASSOCS INC         COM            562750109          4,691         210       X        28-5284                          210
                                                              49,148       2,200       X      X 28-5284      2200
MANITOWOC INC                COM            563571108         52,730       3,391       X        28-5284      3027                364
                                                              44,318       2,850       X      X 28-5284      2550                300
                                                               4,696         302       X        28-11135      302
MANNATECH INC                COM            563771104            692         173       X        28-5284       173
MANPOWER INC                 COM            56418H100         77,429       1,794       X        28-5284       364               1430
                                                             298,106       6,907       X        28-11135     6907
MANTECH INTL CORP            CL A           564563104         72,749       1,227       X        28-11135     1227
MANULIFE FINL CORP           COM            56501R106      4,011,391     109,332       X        28-5284    109028                304
                                                           2,271,294      61,905       X      X 28-5284     61905
MARATHON OIL CORP            COM            565849106      6,433,264     161,356       X        28-5284    153390               7966
                                                           3,514,022      88,137       X      X 28-5284     79110     5200      3827
                                                           1,384,486      34,725       X        28-11135    34725
                                                             180,691       4,532       X        28-4580      4266                266
                                                              13,955         350       X      X 28-4580       350
MARINEMAX INC                COM            567908108         20,967       2,900       X      X 28-5284      2900
MARINE PETE TR               UNIT BEN INT   568423107         11,505         500       X        28-5284       500
MARINE PRODS CORP            COM            568427108         51,277       6,178       X        28-5284      6178
MARINER ENERGY INC           COM            56845T305         86,100       4,200       X        28-5284      4200
                                                             598,600      29,200       X      X 28-5284     29200
                                                             150,081       7,321       X        28-11135     7321
MARKEL CORP                  COM            570535104         15,466          44       X        28-5284        44
                                                             482,961       1,374       X      X 28-5284       824                550
                                                              15,818          45       X        28-11135       45
MARKETAXESS HLDGS INC        COM            57060D108         28,245       3,500       X      X 28-5284      3500
   COLUMN TOTAL                                           20,441,052








                                                                                                                    FILE NO. 28-1235
PAGE 133 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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        GOLD MINER ETF 57060U100         21,964         650       X        28-5284       650
                                                             530,503      15,700       X        28-4580      9900               5800
                                                           1,108,312      32,800       X      X 28-4580     32800
MARKET VECTORS ETF TR        MV ENVIR SVCS  57060U209          4,337          96       X      X 28-5284        96
MARKET VECTORS ETF TR        MV STEEL INDEX 57060U308         37,580         715       X      X 28-5284       715
MARKET VECTORS ETF TR        GBL ALTER ENRG 57060U407        184,758       4,829       X        28-5284      4829
                                                             181,199       4,736       X      X 28-5284      4736
MARKET VECTORS ETF TR        RUSSIA ETF     57060U506          1,301          45       X        28-5284        45
MARKET VECTORS ETF TR        AGRIBUS ETF    57060U605         53,176       1,445       X        28-5284      1445
                                                               7,360         200       X      X 28-5284       200
                                                               3,680         100       X      X 28-4580       100
MARKET VECTORS ETF TR        NUC ENERGY ETF 57060U704         44,940       2,000       X        28-5284      2000
                                                              95,969       4,271       X      X 28-5284      4271
MARKET VECTORS ETF TR        SOLAR ENRG ETF 57060U811            824          30       X        28-5284        30
MARSH & MCLENNAN COS INC     COM            571748102      1,436,505      45,230       X        28-5284     43070               2160
                                                           1,257,664      39,599       X      X 28-5284     38549               1050
                                                              76,224       2,400       X        28-4580      2400
                                                             171,631       5,404       X      X 28-4580      5404
MARSHALL & ILSLEY CORP NEW   COM            571837103        113,485       5,632       X        28-5284      5632
                                                             531,738      26,389       X      X 28-5284      3069              23320
                                                               7,576         376       X        28-11135      376
MARRIOTT INTL INC NEW        CL A           571903202      8,348,174     319,976       X        28-5284    312656               7320
                                                           9,971,546     382,198       X      X 28-5284    378648      450      3100
                                                               2,870         110       X        28-11135      110
                                                             499,206      19,134       X        28-4580     18874                260
                                                             160,975       6,170       X      X 28-4580      6170
MARTEK BIOSCIENCES CORP      COM            572901106         37,076       1,180       X        28-5284       715                465
                                                               4,713         150       X      X 28-5284       150
MARTHA STEWART LIVING OMNIME CL A           573083102          4,255         500       X        28-4580       500
   COLUMN TOTAL                                           24,899,541








                                                                                                                    FILE NO. 28-1235
PAGE 134 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
MARTIN MARIETTA MATLS INC    COM            573284106        143,334       1,280       X        28-5284      1280
                                                             514,996       4,599       X      X 28-5284      4599
MARTIN MIDSTREAM PRTNRS L P  UNIT L P INT   573331105          6,057         300       X        28-5284       300
MARVEL ENTERTAINMENT INC     COM            57383T103          5,121         150       X      X 28-5284       150
MASCO CORP                   COM            574599106      3,752,958     209,195       X        28-5284    184767              24428
                                                           1,249,342      69,640       X      X 28-5284     62710     2800      4130
                                                                 377          21       X        28-11135       21
MASSEY ENERGY CORP           COM            576206106         27,252         764       X        28-5284       764
                                                              56,038       1,571       X      X 28-5284      1496                 75
                                                             144,356       4,047       X        28-11135     4047
                                                           5,703,633     159,900       X        28-11439   159900
MASSMUTUAL CORPORATE INVS IN COM            576292106         11,200         448       X        28-5284       448
MASSMUTUAL PARTN INVS        SH BEN INT     576299101          9,048         800       X        28-5284       800
MASTERCARD INC               CL A           57636Q104     25,907,736     146,099       X        28-5284    138110               7989
                                                           9,846,248      55,525       X      X 28-5284     49062     1004      5459
                                                             147,716         833       X        28-11135      833
                                                             632,359       3,566       X        28-4580      3442                124
                                                             270,074       1,523       X      X 28-4580      1523
MATERIAL SCIENCES CORP       COM            576674105            460          80       X        28-5284                           80
MATRIXX INITIATIVES INC      COM            57685L105        480,382      26,867       X        28-5284     26867
MATRIX SVC CO                COM            576853105        159,791       8,366       X        28-11135     8366
MATTEL INC                   COM            577081102      1,079,676      59,849       X        28-5284     40929              18920
                                                             446,255      24,737       X      X 28-5284     15868     5950      2919
                                                             695,568      38,557       X        28-11135    38557
MATTHEWS INTL CORP           CL A           577128101        494,664       9,749       X        28-5284      9749
                                                             111,628       2,200       X      X 28-5284      2200
MAXIMUS INC                  COM            577933104          6,263         170       X        28-5284                          170
MCAFEE INC                   COM            579064106        243,052       7,157       X        28-5284      7157
                                                             174,860       5,149       X        28-11135     5149
   COLUMN TOTAL                                           52,320,444








                                                                                                                    FILE NO. 28-1235
PAGE 135 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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         13,270       3,016       X        28-5284      3016
                                                               2,922         664       X      X 28-5284       664
MCCORMICK & CO INC           COM VTG        579780107        307,881       8,024       X      X 28-5284      5024               3000
MCCORMICK & CO INC           COM NON VTG    579780206      8,870,300     230,697       X        28-5284    218267              12430
                                                          12,943,846     336,641       X      X 28-5284    262814              73827
                                                               3,691          96       X        28-11135       96
                                                              79,207       2,060       X        28-4580      2060
                                                              72,747       1,892       X      X 28-4580      1892
MCDERMOTT INTL INC           COM            580037109          5,800         227       X        28-5284       227
                                                              22,995         900       X      X 28-5284       900
MCDONALDS CORP               COM            580135101    106,126,345   1,720,038       X        28-5284   1656677              63361
                                                          68,626,380   1,112,259       X      X 28-5284   1069379     6874     36006
                                                             611,817       9,916       X        28-11135     9916
                                                           1,492,029      24,182       X        28-4580     23719                463
                                                             689,127      11,169       X      X 28-4580     11169
MCG CAPITAL CORP             COM            58047P107          2,620       1,000       X      X 28-5284      1000
MCGRATH RENTCORP             COM            580589109          3,862         134       X        28-11135      134
MCGRAW HILL COS INC          COM            580645109     17,357,652     549,119       X        28-5284    544419               4700
                                                          17,972,498     568,570       X      X 28-5284    552610      575     15385
                                                             516,002      16,324       X        28-4580     16324
                                                              94,704       2,996       X      X 28-4580      2996
MCKESSON CORP                COM            58155Q103     12,909,557     239,910       X        28-5284    224060              15850
                                                           3,019,710      56,118       X      X 28-5284     50992     2064      3062
                                                             128,229       2,383       X        28-11135     2383
                                                              42,295         786       X        28-4580       786
                                                              26,905         500       X      X 28-4580       500
MCMORAN EXPLORATION CO       COM            582411104          1,749          74       X      X 28-5284        74
MEADWESTVACO CORP            COM            583334107      1,279,975      54,911       X        28-5284     18911              36000
                                                             315,781      13,547       X      X 28-5284      7256               6291
                                                               8,159         350       X        28-11135      350
MECHEL OAO                   SPONSORED ADR  583840103          4,723         263       X        28-5284       263
                                                               1,796         100       X      X 28-5284       100
   COLUMN TOTAL                                          253,554,574








                                                                                                                    FILE NO. 28-1235
PAGE 136 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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         45,290       7,000       X        28-5284      7000
                                                              88,639      13,700       X      X 28-5284     13700
                                                             162,481      25,113       X        28-11135    25113
MEDCO HEALTH SOLUTIONS INC   COM            58405U102     29,947,770     665,506       X        28-5284    624893              40613
                                                          33,382,620     741,836       X      X 28-5284    685038     9177     47621
                                                              17,550         390       X        28-11135      390
                                                             508,860      11,308       X        28-4580     10856                452
                                                             235,080       5,224       X      X 28-4580      5224
MEDIA GEN INC                CL A           584404107         12,430       1,000       X        28-5284      1000
MEDICAL NUTRITION USA INC    COM            58461X107      1,343,997     597,332       X        28-5284    597332
MEDICAL PPTYS TRUST INC      COM            58463J304        208,488      18,369       X        28-5284     18369
                                                             320,717      28,257       X      X 28-5284     28257
MEDICINOVA INC               COM NEW        58468P206        182,656      80,465       X      X 28-5284              80465
MEDICINES CO                 COM            584688105          1,672          72       X        28-5284        72
                                                             212,811       9,165       X        28-11135     9165
MEDICIS PHARMACEUTICAL CORP  CL A NEW       584690309            746          50       X        28-5284        50
                                                              43,239       2,900       X      X 28-5284      2900
MEDTRONIC INC                COM            585055106     26,854,001     536,008       X        28-5284    503706              32302
                                                          26,321,989     525,389       X      X 28-5284    454120     1400     69869
                                                              61,373       1,225       X        28-11135     1225
                                                             360,219       7,190       X        28-4580      7190
                                                             656,711      13,108       X      X 28-4580     12447      661
MEMORY PHARMACEUTICALS CORP  COM            58606R403            860       4,500       X      X 28-5284      4500
MENS WEARHOUSE INC           COM            587118100         51,613       2,430       X        28-5284      2000                430
                                                               7,158         337       X      X 28-5284       337
MENTOR CORP MINN             COM            587188103          6,681         280       X        28-5284                          280
                                                              94,247       3,950       X      X 28-5284      3850                100
                                                             145,021       6,078       X        28-11135     6078
MENTOR GRAPHICS CORP         COM            587200106          5,119         451       X        28-5284       451
MERCADOLIBRE INC             COM            58733R102         14,245         700       X        28-5284       700
   COLUMN TOTAL                                          121,294,283








                                                                                                                    FILE NO. 28-1235
PAGE 137 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
MERCHANTS BANCSHARES         COM            588448100         22,050       1,000       X      X 28-5284      1000
MERCK & CO INC               COM            589331107     75,301,876   2,385,991       X        28-5284   2306131              79860
                                                         137,039,232   4,342,181       X      X 28-5284   4105416    16438    220327
                                                           1,072,346      33,978       X        28-11135    33978
                                                           1,431,214      45,349       X        28-4580     43942               1407
                                                           2,190,927      69,421       X      X 28-4580     67295     2126
MERCURY COMPUTER SYS         COM            589378108          1,602         180       X        28-5284                          180
MEREDITH CORP                COM            589433101          1,234          44       X        28-5284        44
MERIDIAN BIOSCIENCE INC      COM            589584101          6,970         240       X        28-5284       240
                                                             181,587       6,253       X      X 28-5284      6253
                                                              16,233         559       X        28-11135      559
MERIT MED SYS INC            COM            589889104        196,315      10,459       X        28-11135    10459
MERRILL LYNCH & CO INC       COM            590188108      6,162,979     243,596       X        28-5284    198672              44924
                                                           2,151,082      85,023       X      X 28-5284     73218      750     11055
                                                             368,849      14,579       X        28-11135    14579
                                                              56,925       2,250       X        28-4580      2250
                                                               9,108         360       X      X 28-4580       360
MESA AIR GROUP INC           COM            590479101             54         163       X        28-11135      163
METALICO INC                 COM            591176102          1,475         250       X        28-5284       250
METAVANTE TECHNOLOGIES INC   COM            591407101         58,897       3,058       X        28-5284      3058
                                                             231,813      12,036       X      X 28-5284      4189               7847
METHANEX CORP                COM            59151K108          1,989         100       X        28-5284       100
                                                              13,923         700       X      X 28-5284       700
                                                               7,797         392       X        28-11135      392
METHODE ELECTRS INC          COM            591520200          2,593         290       X        28-5284                          290
                                                                 733          82       X        28-11135       82
METLIFE INC                  COM            59156R108     32,345,488     577,598       X        28-5284    534062              43536
                                                          10,129,616     180,886       X      X 28-5284    166606     4033     10247
                                                             508,480       9,080       X        28-11135     9080
                                                             546,336       9,756       X        28-4580      9295                461
                                                             141,176       2,521       X      X 28-4580      2521
   COLUMN TOTAL                                          270,200,899








                                                                                                                    FILE NO. 28-1235
PAGE 138 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
METROPCS COMMUNICATIONS INC  COM            591708102          9,961         712       X        28-5284       712
                                                                  98           7       X      X 28-5284         7
METTLER TOLEDO INTERNATIONAL COM            592688105          2,352          24       X        28-5284        24
                                                              49,098         501       X      X 28-5284       501
                                                               8,624          88       X        28-11135       88
MEXICO EQUITY & INCOME FD    COM            592834105          9,375         512       X        28-5284       512
MEXICO FD INC                COM            592835102          6,125         245       X      X 28-5284                245
MFS INTERMARKET INCOME TRUST SH BEN INT     59318R103          3,415         500       X        28-5284       500
                                                              80,594      11,800       X      X 28-5284                        11800
MICROS SYS INC               COM            594901100         87,178       3,270       X        28-5284      2600                670
                                                              14,236         534       X        28-11135      534
MICROSOFT CORP               COM            594918104    165,933,011   6,217,048       X        28-5284   5786438             430610
                                                         107,363,007   4,022,593       X      X 28-5284   3604694    38081    379818
                                                           1,508,332      56,513       X        28-11135    56513
                                                           3,237,524     121,301       X        28-4580    119904               1397
                                                           2,584,019      96,816       X      X 28-4580     96656                160
MICROSTRATEGY INC            CL A NEW       594972408            952          16       X        28-5284        10                  6
MICROCHIP TECHNOLOGY INC     COM            595017104      2,184,707      74,234       X        28-5284     58684              15550
                                                             636,747      21,636       X      X 28-5284     13701               7935
                                                              11,213         381       X        28-11135      381
MICRON TECHNOLOGY INC        COM            595112103          2,487         614       X        28-5284       614
                                                               8,100       2,000       X      X 28-5284      2000
                                                                 729         180       X        28-11135      180
MICROSEMI CORP               COM            595137100         17,072         670       X        28-5284                          670
MID-AMER APT CMNTYS INC      COM            59522J103        153,071       3,115       X        28-5284      3115
                                                              57,199       1,164       X      X 28-5284      1164
MID PENN BANCORP INC         COM            59540G107         25,941       1,123       X      X 28-5284                         1123
MIDAS GROUP INC              COM            595626102          1,651         120       X        28-5284                          120
                                                               3,316         241       X      X 28-5284       241
   COLUMN TOTAL                                          284,000,134








                                                                                                                    FILE NO. 28-1235
PAGE 139 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
MIDCAP SPDR TR               UNIT SER 1     595635103    194,848,112   1,478,362       X        28-5284   1428117              50245
                                                          42,919,352     325,640       X      X 28-5284    288515     1083     36042
                                                           2,544,399      19,305       X        28-4580     19005                300
                                                           1,218,886       9,248       X      X 28-4580      9248
MIDDLEBY CORP                COM            596278101         38,017         700       X      X 28-5284       700
MIDDLESEX WATER CO           COM            596680108         20,597       1,179       X        28-5284      1179
                                                          13,178,198     754,333       X      X 28-5284      4333             750000
MIDWEST BANC HOLDINGS INC    COM            598251106        370,400      92,600       X        28-5284     92600
MILLER HERMAN INC            COM            600544100         97,146       3,970       X        28-5284      3970
MILLIPORE CORP               COM            601073109      1,039,018      15,102       X        28-5284     11302               3800
                                                           1,112,840      16,175       X      X 28-5284      8482               7693
MINDRAY MEDICAL INTL LTD     SPON ADR       602675100        125,172       3,711       X        28-5284      3319                392
                                                             642,557      19,050       X      X 28-5284     19050
MINE SAFETY APPLIANCES CO    COM            602720104      3,907,872     102,515       X        28-5284    102515
                                                          92,243,805   2,419,827       X      X 28-5284      5303    25335   2389189
MINERALS TECHNOLOGIES INC    COM            603158106         47,132         794       X        28-5284                          794
                                                               8,904         150       X      X 28-5284                          150
MIRANT CORP NEW              COM            60467R100             18           1       X        28-5284         1
                                                                 238          13       X      X 28-5284        13
                                                                 988          54       X        28-11135       54
                                                                 201          11       X        28-4580        11
MIRANT CORP NEW              *W EXP 01/03/2 60467R118            120          30       X        28-5284        30
                                                                 220          55       X      X 28-5284        55
                                                                 140          35       X        28-4580        35
MITSUBISHI UFJ FINL GROUP IN SPONSORED ADR  606822104         75,042       8,586       X        28-5284      8586
                                                                 472          54       X      X 28-5284        54
                                                             101,611      11,626       X        28-11135    11626
MITSUI & CO LTD              ADR            606827202         12,508          51       X        28-5284        51
                                                              16,922          69       X        28-11135       69
   COLUMN TOTAL                                          354,570,887








                                                                                                                    FILE NO. 28-1235
PAGE 140 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
MOBILE MINI INC              COM            60740F105          5,412         280       X        28-5284                          280
                                                               2,513         130       X        28-11135      130
MOBILE TELESYSTEMS OJSC      SPONSORED ADR  607409109         28,005         500       X      X 28-5284                          500
MOHAWK INDS INC              COM            608190104        187,344       2,780       X        28-5284       780               2000
                                                             337,489       5,008       X      X 28-5284      5008
                                                               5,122          76       X        28-11135       76
MOLECULAR INSIGHT PHARM INC  COM            60852M104         23,040       3,000       X        28-5284      3000
MOLINA HEALTHCARE INC        COM            60855R100          1,116          36       X        28-11135       36
MOLEX INC                    COM            608554101          8,598         383       X        28-5284       383
                                                              33,675       1,500       X      X 28-5284      1500
MOLEX INC                    CL A           608554200          3,038         146       X        28-5284       146
                                                             356,787      17,145       X      X 28-5284     14145               3000
MOLSON COORS BREWING CO      CL B           60871R209      5,788,445     123,817       X        28-5284    118467               5350
                                                           2,377,144      50,848       X      X 28-5284     50168                680
                                                              92,098       1,970       X        28-4580      1970
                                                               2,338          50       X      X 28-4580        50
MONACO COACH CORP            COM            60886R103            351         180       X        28-5284                          180
MONEYGRAM INTL INC           COM            60935Y109          4,996       3,518       X        28-5284      3518
MONOLITHIC PWR SYS INC       COM            609839105        655,718      37,750       X      X 28-5284     37750
MONOTYPE IMAGING HOLDINGS IN COM            61022P100          8,559         769       X        28-11135      769
MONSANTO CO NEW              COM            61166W101     22,092,633     223,203       X        28-5284    198307              24896
                                                          14,951,226     151,053       X      X 28-5284    139758     1504      9791
                                                             453,328       4,580       X        28-11135     4580
                                                           1,009,695      10,201       X        28-4580      9995                206
                                                             213,599       2,158       X      X 28-4580      2158
MONSTER WORLDWIDE INC        COM            611742107         24,154       1,620       X        28-5284      1620
                                                                 119           8       X      X 28-5284         8
                                                             144,791       9,711       X        28-11135     9711
MONTGOMERY STR INCOME SECS I COM            614115103        210,705      16,500       X      X 28-5284       600              15900
   COLUMN TOTAL                                           49,022,038








                                                                                                                    FILE NO. 28-1235
PAGE 141 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
MOODYS CORP                  COM            615369105      7,425,090     218,385       X        28-5284    209372               9013
                                                           5,437,892     159,938       X      X 28-5284    146813      200     12925
                                                                 408          12       X        28-11135       12
                                                              73,100       2,150       X        28-4580      2150
                                                              99,960       2,940       X      X 28-4580      2940
MOOG INC                     CL A           615394202         94,336       2,200       X      X 28-5284                         2200
                                                               3,302          77       X        28-11135       77
MORGAN STANLEY EASTN EUR FD  COM            616988101          1,603          87       X        28-5284        87
MORGAN STANLEY EMER MKTS FD  COM            61744G107          6,565         500       X      X 28-5284       500
MORGAN STANLEY EMER MKTS DEB COM            61744H105         38,681       5,350       X      X 28-5284      5350
MORGAN STANLEY HIGH YIELD FD COM            61744M104         15,990       3,900       X      X 28-5284      3600                300
MORGAN STANLEY ASIA PAC FD I COM            61744U106         35,966       2,686       X      X 28-5284      2686
MORGAN STANLEY               COM NEW        617446448      9,398,950     408,650       X        28-5284    385124              23526
                                                           8,288,464     360,368       X      X 28-5284    340919      750     18699
                                                              54,533       2,371       X        28-11135     2371
                                                              34,500       1,500       X        28-11439     1500
                                                             134,550       5,850       X        28-4580      5850
                                                              91,747       3,989       X      X 28-4580      3989
MORGAN STANLEY INDIA INVS FD COM            61745C105          9,950         500       X        28-5284       500
                                                               5,970         300       X      X 28-5284       300
MORGAN STANLEY               MUN PREM INCOM 61745P429         25,240       4,000       X      X 28-5284                         4000
MORGAN STANLEY               CA INSD MUN TR 61745P502         46,419       4,318       X        28-5284      2225               2093
MORGAN STANLEY               QULTY MUN SECS 61745P585        113,784      10,816       X      X 28-5284     10816
MORGAN STANLEY               QLT MUN INV TR 61745P668         15,180       1,500       X      X 28-5284      1500
                                                              25,685       2,538       X        28-4580      2538
MORGAN STANLEY               QUALT MUN INCM 61745P734        105,270      11,000       X      X 28-5284     11000
MORGAN STANLEY               INSD MUN INCM  61745P791        370,175      33,500       X        28-5284     33500
MORGAN STANLEY               INSD MUN TR    61745P866         13,637       1,300       X        28-5284      1300
   COLUMN TOTAL                                           31,966,947








                                                                                                                    FILE NO. 28-1235
PAGE 142 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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               INCOME SEC INC 61745P874          6,086         496       X        28-5284       496
                                                              53,988       4,400       X      X 28-5284                         4400
MORGAN STANLEY CHINA A SH FD COM            617468103         11,750         406       X      X 28-5284       406
MORGAN STANLEY               SHRT EUR ETN20 617480280        118,200       2,500       X        28-5284      2500
MORNINGSTAR INC              COM            617700109        133,128       2,400       X      X 28-5284      2200                200
MOSAIC CO                    COM            61945A107          1,224          18       X        28-5284        18
                                                             204,060       3,000       X      X 28-5284      2850                150
MOTHERS WK INC               COM            619903107        416,428      30,002       X        28-5284     30002
MOTOROLA INC                 COM            620076109      7,232,206   1,012,914       X        28-5284    928812              84102
                                                           4,633,239     648,913       X      X 28-5284    621724     7200     19989
                                                             464,850      65,105       X        28-11135    65105
                                                              35,329       4,948       X        28-4580      4948
MUELLER INDS INC             COM            624756102         14,266         620       X        28-5284       300                320
MULTI COLOR CORP             COM            625383104          7,167         300       X        28-5284                          300
MURPHY OIL CORP              COM            626717102      2,417,757      37,695       X        28-5284     36495               1200
                                                           2,555,979      39,850       X      X 28-5284     37250      900      1700
MYERS INDS INC               COM            628464109          7,667         608       X        28-5284       400                208
MYLAN INC                    COM            628530107        142,293      12,460       X        28-5284      8055               4405
                                                             132,655      11,616       X      X 28-5284      8918               2698
                                                              14,915       1,306       X      X 28-4580      1306
MYRIAD GENETICS INC          COM            62855J104         59,690         920       X        28-5284       920
                                                             648,800      10,000       X      X 28-5284     10000
NBT BANCORP INC              COM            628778102        405,416      13,550       X        28-5284     13550
                                                             292,588       9,779       X      X 28-5284      9779
NBTY INC                     COM            628782104      2,242,251      75,957       X        28-5284     75957
                                                               1,181          40       X        28-11135       40
NCI BUILDING SYS INC         COM            628852105        191,961       6,046       X        28-11135     6046
   COLUMN TOTAL                                           22,445,074








                                                                                                                    FILE NO. 28-1235
PAGE 143 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
NCR CORP NEW                 COM            62886E108         31,686       1,437       X        28-5284      1187                250
                                                             707,959      32,107       X      X 28-5284      1911              30196
                                                               9,790         444       X        28-11135      444
                                                               2,734         124       X        28-4580       124
NGP CAP RES CO               COM            62912R107            510          35       X        28-11135       35
NGAS RESOURCES INC           COM            62912T103          2,375         500       X        28-5284       500
NII HLDGS INC                CL B NEW       62913F201          3,792         100       X        28-5284       100
                                                             170,640       4,500       X      X 28-5284                         4500
                                                               1,706          45       X        28-11135       45
NL INDS INC                  COM NEW        629156407          5,135         500       X        28-5284       500
NMS COMMUNICATIONS CORP      COM            629248105        818,692   1,670,799       X      X 28-5284            1670799
NRG ENERGY INC               COM NEW        629377508          3,737         151       X        28-5284       151
NTT DOCOMO INC               SPONS ADR      62942M201         34,519       2,171       X        28-5284      2171
                                                              21,147       1,330       X      X 28-5284      1330
                                                              69,722       4,385       X        28-11135     4385
NVR INC                      COM            62944T105          1,144           2       X        28-5284         2
NYSE EURONEXT                COM            629491101        140,930       3,597       X        28-5284      2017               1580
                                                              23,900         610       X      X 28-5284       600                 10
                                                              54,225       1,384       X        28-11135     1384
                                                           1,086,109      27,721       X                    27721
NACCO INDS INC               CL A           629579103      1,086,413      11,494       X      X 28-5284     11494
NALCO HOLDING COMPANY        COM            62985Q101         22,248       1,200       X        28-5284      1200
                                                             370,800      20,000       X      X 28-5284     20000
NAM TAI ELECTRS INC          COM PAR $0.02  629865205         75,164       9,200       X      X 28-5284      2200     7000
NANOGEN INC                  COM            630075109            203         750       X        28-5284       750
NANOPHASE TCHNOLOGIES CORP   COM            630079101             26          20       X        28-5284        20
NAPSTER INC                  COM            630797108      1,062,359     407,034       X      X 28-5284             407034
NARA BANCORP INC             COM            63080P105         89,600       8,000       X      X 28-5284      8000
   COLUMN TOTAL                                            5,897,265







                                                                                                                    FILE NO. 28-1235
PAGE 144 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
NASDAQ OMX GROUP INC         COM            631103108        630,506      20,625       X        28-5284     19875                750
                                                             103,724       3,393       X      X 28-5284      3193                200
                                                             737,257      24,117       X        28-11135    24117
NASH FINCH CO                COM            631158102          4,743         110       X        28-5284                          110
NASHUA CORP                  COM            631226107         48,180       6,000       X        28-5284                         6000
NATIONAL BK GREECE S A       SPONSORED ADR  633643408         33,677       4,082       X        28-5284      4082
NATIONAL BANKSHARES INC VA   COM            634865109      2,839,832     172,111       X        28-1500    172111
NATIONAL CINEMEDIA INC       COM            635309107            829          75       X        28-5284        75
NATIONAL CITY CORP           COM            635405103        286,913     163,950       X        28-5284    152901              11049
                                                             342,874     195,928       X      X 28-5284    143772    14988     37168
                                                               1,453         830       X        28-11135      830
                                                              36,337      20,764       X        28-4580     20764
                                                              12,451       7,115       X      X 28-4580      7115
NATIONAL FINL PARTNERS CORP  COM            63607P208        146,145       9,743       X        28-11135     9743
NATIONAL FUEL GAS CO N J     COM            636180101        494,476      11,723       X        28-5284     10341               1382
                                                             269,952       6,400       X      X 28-5284      6400
NATIONAL GRID PLC            SPON ADR NEW   636274300         27,679         431       X        28-5284       431
                                                               1,028          16       X      X 28-5284        16
NATIONAL HEALTH INVS INC     COM            63633D104         10,254         300       X        28-5284       300
                                                              20,508         600       X      X 28-5284       600
NATIONAL INSTRS CORP         COM            636518102        466,646      15,529       X        28-5284      6170               9359
                                                             450,750      15,000       X      X 28-5284      1600              13400
                                                              12,651         421       X        28-11135      421
NATIONAL OILWELL VARCO INC   COM            637071101      5,024,306     100,026       X        28-5284     93471               6555
                                                           1,663,969      33,127       X      X 28-5284     28027               5100
                                                              77,505       1,543       X        28-11135     1543
                                                               9,493         189       X        28-4580       189
                                                             100,460       2,000       X      X 28-4580      2000
NATIONAL PENN BANCSHARES INC COM            637138108        156,278      10,704       X        28-5284     10704
                                                             184,515      12,638       X      X 28-5284      4295               8343
   COLUMN TOTAL                                           14,195,391








                                                                                                                    FILE NO. 28-1235
PAGE 145 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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 PRESTO INDS INC     COM            637215104          2,980          40       X        28-5284                           40
NATIONAL RETAIL PROPERTIES I COM            637417106         67,060       2,800       X        28-5284       400               2400
                                                             519,955      21,710       X      X 28-5284     21710
NATIONAL SEMICONDUCTOR CORP  COM            637640103          9,758         567       X        28-5284       567
                                                             110,264       6,407       X      X 28-5284       407               6000
NATIONWIDE FINL SVCS INC     CL A           638612101         18,893         383       X        28-5284       383
                                                             316,748       6,421       X      X 28-5284      4713               1708
NATIONWIDE HEALTH PPTYS INC  COM            638620104        346,991       9,644       X        28-5284      9644
                                                             354,403       9,850       X      X 28-5284      3400               6450
NATIONWIDE HEALTH PPTYS INC  PFD CV B 7.75% 638620302      9,550,658      60,000       X        28-11439    60000
NATURAL GAS SERVICES GROUP   COM            63886Q109          3,494         200       X        28-5284                          200
                                                               1,328          76       X        28-11135       76
NAVIGATORS GROUP INC         COM            638904102        359,368       6,196       X        28-11135     6196
NATURAL RESOURCE PARTNERS L  COM UNIT L P   63900P103        151,980       6,000       X        28-5284      6000
                                                             482,435      19,046       X      X 28-5284     14046     5000
NATUS MEDICAL INC DEL        COM            639050103         24,926       1,100       X      X 28-5284      1100
NAUTILUS INC                 COM            63910B102          1,828         400       X      X 28-5284       400
NAVISTAR INTL CORP NEW       COM            63934E108          8,127         150       X        28-5284       150
                                                              81,270       1,500       X      X 28-5284                         1500
NAVIGANT CONSULTING INC      COM            63935N107         65,637       3,300       X      X 28-5284      3300
NEENAH PAPER INC             COM            640079109          2,554         129       X        28-5284       129
                                                              23,245       1,174       X      X 28-5284      1174
NEOPHARM INC                 COM            640919106             13          57       X      X 28-5284                           57
NESS TECHNOLOGIES INC        COM            64104X108          4,588         400       X        28-5284                          400
                                                              32,116       2,800       X      X 28-5284      2800
NET SERVICOS DE COMUNICACAO  SPONSD ADR NEW 64109T201            878         100       X        28-5284       100
   COLUMN TOTAL                                           12,541,497








                                                                                                                    FILE NO. 28-1235
PAGE 146 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
NETAPP INC                   COM            64110D104         63,914       3,506       X        28-5284      3506
                                                             118,677       6,510       X      X 28-5284      6510
                                                               5,834         320       X      X 28-4580       320
NETFLIX INC                  COM            64110L106         67,133       2,174       X      X 28-5284      2174
NETLIST INC                  COM            64118P109        174,105     158,277       X      X 28-5284             158277
NETWORK EQUIP TECHNOLOGIES   COM            641208103            650         190       X        28-5284                          190
NEUROMETRIX INC              COM            641255104          3,684       3,648       X        28-5284      3648
NEUBERGER BERMAN INCOME OPP  COM SHS        64126L108         38,650       5,000       X      X 28-5284      5000
NEUSTAR INC                  CL A           64126X201         19,890       1,000       X        28-5284      1000
                                                              40,775       2,050       X      X 28-5284      2050
NEUTRAL TANDEM INC           COM            64128B108      5,604,253     302,279       X        28-5284    302279
NEW AMER HIGH INCOME FD INC  COM            641876107         15,295      13,300       X      X 28-5284                        13300
NEUBERGER BERMAN RE ES SEC F COM            64190A103          2,631         368       X        28-5284       368
NEW FRONTIER MEDIA INC       COM            644398109            781         328       X        28-5284       328
                                                             109,004      45,800       X      X 28-5284              45800
NEW GERMANY FD INC           COM            644465106         33,705       3,150       X      X 28-5284               3150
NEW JERSEY RES               COM            646025106        461,689      12,864       X        28-5284     12519                345
                                                          13,405,633     373,520       X      X 28-5284      8848             364672
NEW YORK CMNTY BANCORP INC   COM            649445103      1,389,893      82,781       X        28-5284     80701               2080
                                                           1,146,639      68,293       X      X 28-5284     64543               3750
                                                               1,662          99       X        28-11135       99
                                                             224,986      13,400       X        28-11439    13400
NEW YORK TIMES CO            CL A           650111107        322,597      22,575       X        28-5284     14959               7616
                                                              98,801       6,914       X      X 28-5284      6589                325
NEWCASTLE INVT CORP          COM            65105M108          2,858         450       X        28-5284       450
                                                             197,993      31,180       X      X 28-5284     30180               1000
   COLUMN TOTAL                                           23,551,732








                                                                                                                    FILE NO. 28-1235
PAGE 147 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
NEWELL RUBBERMAID INC        COM            651229106      2,451,231     142,018       X        28-5284    134038               7980
                                                           5,570,993     322,769       X      X 28-5284     93309             229460
                                                              22,214       1,287       X        28-11135     1287
NEWFIELD EXPL CO             COM            651290108        278,313       8,700       X        28-5284      3300               5400
                                                             314,654       9,836       X      X 28-5284      6036               3800
NEWMONT MINING CORP          COM            651639106      2,074,241      53,515       X        28-5284     47276               6239
                                                           4,540,308     117,139       X      X 28-5284    113445      575      3119
                                                              74,729       1,928       X        28-11135     1928
                                                              32,946         850       X        28-4580       350                500
                                                             156,978       4,050       X      X 28-4580      4050
NEWPORT CORP                 COM            651824104         10,090         936       X        28-5284       936
NEWS CORP                    CL A           65248E104     10,544,102     879,408       X        28-5284    820913              58495
                                                           2,949,576     246,003       X      X 28-5284    230656     4400     10947
                                                                 216          18       X        28-11135       18
                                                             131,650      10,980       X        28-4580     10580                400
                                                              18,585       1,550       X      X 28-4580      1550
NEWS CORP                    CL B           65248E203        764,381      62,912       X        28-5284     62912
                                                             294,030      24,200       X      X 28-5284     18800               5400
                                                               8,712         717       X        28-11135      717
NEXCEN BRANDS INC            COM            653351106          1,400       5,000       X        28-5284      5000
                                                               5,600      20,000       X      X 28-5284              20000
NFJ DIVID INT & PREM STRTGY  COM SHS        65337H109         11,159         685       X        28-5284       685
NICE SYS LTD                 SPONSORED ADR  653656108          1,199          44       X        28-11135       44
NICHOLAS-APPLGT INTL & PRM S COM            65370C108          4,586         343       X        28-5284       343
NICHOLAS-APPLEGATE CV & INC  COM            65370F101        273,338      33,829       X        28-5284      2229              31600
                                                              21,202       2,624       X      X 28-5284      2624
NICHOLAS APPLEGATE CV&INC FD COM            65370G109         20,440       2,729       X        28-5284      2729
NICOR INC                    COM            654086107        174,074       3,925       X        28-5284      2867               1058
                                                             212,880       4,800       X      X 28-5284      3300               1500
NIDEC CORP                   SPONSORED ADR  654090109         14,640         960       X        28-5284       960
   COLUMN TOTAL                                           30,978,467








                                                                                                                    FILE NO. 28-1235
PAGE 148 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
NIKE INC                     CL B           654106103     58,761,749     878,352       X        28-5284    824367              53985
                                                          30,522,322     456,238       X      X 28-5284    416276     5305     34657
                                                           1,007,113      15,054       X        28-11135    15054
                                                             813,437      12,159       X        28-4580     11760                399
                                                             349,285       5,221       X      X 28-4580      5221
NIPPON TELEG & TEL CORP      SPONSORED ADR  654624105         58,864       2,615       X        28-5284      2615
                                                                 518          23       X      X 28-5284        23
                                                             508,321      22,582       X        28-11135    22582
NISOURCE INC                 COM            65473P105         78,125       5,293       X        28-5284      1593               3700
                                                             133,681       9,057       X      X 28-5284      9057
                                                               9,387         636       X        28-11135      636
                                                              26,229       1,777       X        28-4580      1777
NISSAN MOTORS                SPONSORED ADR  654744408         22,057       1,623       X        28-5284      1623
                                                               1,685         124       X      X 28-5284       124
NOKIA CORP                   SPONSORED ADR  654902204     11,281,254     604,893       X        28-5284    591130              13763
                                                           9,653,184     517,597       X      X 28-5284    471097     1025     45475
                                                             441,128      23,653       X        28-11135    23653
                                                             162,180       8,696       X        28-4580      8696
                                                              98,845       5,300       X      X 28-4580      5300
NOBLE ENERGY INC             COM            655044105        770,199      13,855       X        28-5284      4515               9340
                                                             164,546       2,960       X      X 28-5284      2960
                                                              20,846         375       X        28-11135      375
NOMURA HLDGS INC             SPONSORED ADR  65535H208         46,342       3,543       X        28-5284      3543
                                                                 301          23       X      X 28-5284        23
                                                              16,520       1,263       X        28-11135     1263
NORDSTROM INC                COM            655664100      6,489,544     225,175       X        28-5284    223150               2025
                                                           2,457,798      85,281       X      X 28-5284     80656      325      4300
                                                             291,803      10,125       X        28-11135    10125
                                                             155,225       5,386       X        28-4580      5386
                                                              15,275         530       X      X 28-4580       530
NORFOLK SOUTHERN CORP        COM            655844108     36,062,866     544,674       X        28-5284    512046      100     32528
                                                          37,203,134     561,896       X      X 28-5284    466827     2606     92463
                                                             174,199       2,631       X        28-11135     2631
                                                             542,988       8,201       X        28-4580      7807                394
                                                             165,260       2,496       X      X 28-4580      2496
   COLUMN TOTAL                                          198,506,210








                                                                                                                    FILE NO. 28-1235
PAGE 149 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
NORTEL NETWORKS CORP NEW     COM NEW        656568508          2,298       1,026       X        28-5284      1019                  7
                                                               3,817       1,704       X      X 28-5284      1704
                                                               8,655       3,864       X        28-11135     3864
NORTH AMERN GALVANZNG & CTNG COM            65686Y109      2,686,196     526,705       X        28-5284                       526705
NORTH EUROPEAN OIL RTY TR    SH BEN INT     659310106        316,940      10,600       X        28-5284     10600
                                                              71,760       2,400       X      X 28-5284      2400
NORTHEAST UTILS              COM            664397106          4,797         187       X        28-5284       187
                                                               6,413         250       X      X 28-5284       250
NORTHERN TR CORP             COM            665859104     50,510,687     699,594       X        28-5284    656873              42721
                                                          19,468,369     269,645       X      X 28-5284    243124     3279     23242
                                                              20,144         279       X        28-11135      279
                                                             511,032       7,078       X        28-4580      7078
                                                             134,509       1,863       X      X 28-4580      1863
NORTHFIELD LABS INC          COM            666135108            140         500       X        28-5284       500
NORTHRIM BANCORP INC         COM            666762109      3,080,849     186,199       X        28-1500    186199
NORTHROP GRUMMAN CORP        COM            666807102      4,567,017      75,438       X        28-5284     68123               7315
                                                           6,434,978     106,293       X      X 28-5284     98525               7768
                                                             265,589       4,387       X        28-11135     4387
                                                             108,851       1,798       X        28-4580      1798
NORTHSTAR RLTY FIN CORP      COM            66704R100          2,325         300       X        28-5284       300
                                                             185,613      23,950       X      X 28-5284     23950
NORTHWEST AIRLS CORP         COM            667280408          5,770         639       X        28-5284       299                340
                                                                 479          53       X      X 28-5284        53
NORTHWEST BANCORP INC PA     COM            667328108          8,813         320       X        28-5284       320
                                                              33,737       1,225       X      X 28-5284      1225
NORTHWEST NAT GAS CO         COM            667655104         74,360       1,430       X        28-5284      1230                200
                                                             156,000       3,000       X      X 28-5284      3000
                                                              48,620         935       X        28-11135      935
NORTHWESTERN CORP            COM NEW        668074305         25,130       1,000       X      X 28-5284      1000
   COLUMN TOTAL                                           88,743,888








                                                                                                                    FILE NO. 28-1235
PAGE 150 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
NORWOOD FINANCIAL CORP       COM            669549107        131,399       4,531       X        28-5284      4531
                                                              61,973       2,137       X      X 28-5284      2137
NOVA CHEMICALS CORP          COM            66977W109        134,470       5,950       X        28-5284      5950
NOVAMED INC DEL              COM            66986W108        303,332      63,994       X        28-5284     63994
NOVARTIS A G                 SPONSORED ADR  66987V109      5,092,614      96,378       X        28-5284     89813               6565
                                                           3,807,439      72,056       X      X 28-5284     49186              22870
                                                             129,986       2,460       X        28-11135     2460
NOVELLUS SYS INC             COM            670008101          1,414          72       X        28-5284        72
NOVEN PHARMACEUTICALS INC    COM            670009109          2,336         200       X        28-5284                          200
NOVO-NORDISK A S             ADR            670100205        838,554      16,378       X        28-5284     16378
                                                           2,322,330      45,358       X      X 28-5284     45358
NSTAR                        COM            67019E107         61,674       1,841       X        28-5284      1841
                                                             366,490      10,940       X      X 28-5284      2940               8000
NTELOS HLDGS CORP            COM            67020Q107         13,875         516       X        28-11135      516
NUANCE COMMUNICATIONS INC    COM            67020Y100        357,521      29,329       X        28-5284     29329
                                                             247,116      20,272       X      X 28-5284        75              20197
                                                             146,768      12,040       X        28-11135    12040
NUCOR CORP                   COM            670346105      1,025,223      25,955       X        28-5284     24455               1500
                                                             831,041      21,039       X      X 28-5284     20839                200
NUMEREX CORP PA              CL A           67053A102      1,179,079     289,700       X      X 28-5284    289700
NUSTAR ENERGY LP             UNIT COM       67058H102        112,376       2,646       X        28-5284      2646
                                                             279,198       6,574       X      X 28-5284      5074               1500
NUSTAR GP HOLDINGS LLC       UNIT RESTG LLC 67059L102          8,750         500       X        28-5284       500
NUVEEN INSD PREM INCOME MUN  COM            6706D8104         19,360       2,000       X      X 28-5284      2000
NUVEEN EQUITY PREM INCOME FD COM            6706ER101          5,084         400       X      X 28-5284       400
NUVEEN EQUITY PREM ADV FD    COM            6706ET107         63,050       5,000       X      X 28-5284                         5000
   COLUMN TOTAL                                           17,542,452








                                                                                                                    FILE NO. 28-1235
PAGE 151 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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 PA PREM INCOME MUN FD COM            67061F101        190,259      19,860       X        28-5284     19860
                                                             182,844      19,086       X      X 28-5284     19086
NUVEEN MD PREM INCOME MUN FD COM            67061Q107         32,121       2,988       X      X 28-5284      2988
NUVEEN SELECT MAT MUN FD     SH BEN INT     67061T101         20,608       2,300       X      X 28-5284      2300
NUVEEN ARIZ PREM INCOME MUN  COM            67061W104         51,305       4,442       X      X 28-5284      4442
NUVEEN INVT QUALITY MUN FD I COM            67062E103         44,309       4,192       X        28-5284      4192
                                                              77,975       7,377       X      X 28-5284      7377
NUVEEN SELECT TAX FREE INCM  SH BEN INT     67062F100         41,234       3,150       X      X 28-5284      3150
NUVEEN MUN ADVANTAGE FD INC  COM            67062H106         90,320       8,000       X        28-5284      8000
                                                               3,387         300       X      X 28-5284       300
NUVEEN MUN INCOME FD INC     COM            67062J102         72,080       8,000       X        28-5284      8000
                                                              71,810       7,970       X      X 28-5284      7970
NUVEEN INSD QUALITY MUN FD I COM            67062N103         27,154       2,533       X        28-5284      2533
NUVEEN PERFORMANCE PLUS MUN  COM            67062P108        121,570      10,972       X      X 28-5284     10972
NUVEEN PREM INCOME MUN FD    COM            67062T100         19,918       1,829       X        28-5284      1829
                                                              16,335       1,500       X      X 28-5284      1500
NUVEEN MUN MKT OPPORTUNITY F COM            67062W103        119,093      10,900       X        28-5284     10900
NUVEEN SELECT TAX FREE INCM  SH BEN INT     67063C106        109,310       8,500       X      X 28-5284      8500
NUVEEN PREM INCOME MUN FD 2  COM            67063W102         34,695       3,270       X      X 28-5284      3270
NUVEEN SELECT TAX FREE INCM  SH BEN INT     67063X100         12,640       1,000       X      X 28-5284      1000
NUVEEN TAX FREE ADV MUN FD   COM            670657105        154,503      14,453       X      X 28-5284     14453
NVIDIA CORP                  COM            67066G104      1,554,631     145,157       X        28-5284    140057               5100
                                                           1,076,858     100,547       X      X 28-5284     95747     1500      3300
                                                              32,451       3,030       X        28-4580      3030
                                                               2,142         200       X      X 28-4580       200
   COLUMN TOTAL                                            4,159,552








                                                                                                                    FILE NO. 28-1235
PAGE 152 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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 DIVID ADVANTAGE MUN F COM            67066V101          3,237         300       X        28-5284       300
                                                              21,580       2,000       X      X 28-5284      2000
NUVEEN MUN HIGH INC OPP FD   COM            670682103         13,750       1,100       X        28-5284      1100
                                                             135,000      10,800       X      X 28-5284      6600               4200
NUVEEN MUN HIGH INC OPPTY FD COM            670683101         25,898       2,300       X      X 28-5284                         2300
NUTRI SYS INC NEW            COM            67069D108          1,577          89       X      X 28-5284        89
NUVEEN PA DIV ADVANTAGE MUN  COM            67070E103         41,326       3,895       X        28-5284      3895
                                                              35,257       3,323       X      X 28-5284      3323
NUVEEN MD DIV ADV MUNI FD 2  COM SH BEN INT 67070V105         55,500       5,000       X      X 28-5284                         5000
NUVEEN DIV ADV MUNI FD 3     COM SH BEN INT 67070X101            144          13       X        28-11135       13
NUVEEN REAL ESTATE INCOME FD COM            67071B108         14,102       1,248       X      X 28-5284      1248
NUVEEN INSD DIVID ADVANTAGE  COM            67071L106         37,733       3,510       X      X 28-5284      3510
NUVEEN QUALITY PFD INCOME FD COM            67071S101          5,540       1,000       X        28-5284      1000
                                                              39,279       7,090       X      X 28-5284      7090
NUVEEN NEW JERSEY DIVID      COM            67071T109         36,300       3,300       X        28-5284      3300
NUVEEN PA DIVID ADVANTAGE MU COM            67071W102         24,633       2,300       X      X 28-5284      2300
NUVEEN GA DIV ADV MUN FD 2   COM            67072B107        338,651      31,888       X      X 28-5284     31888
NUVEEN QUALITY PFD INCOME FD COM            67072C105         13,001       2,185       X        28-5284      2185
                                                              19,956       3,354       X      X 28-5284      3354
NUVEEN QUALITY PFD INC FD 3  COM            67072W101          5,590       1,000       X        28-5284      1000
NUVEEN MULTI STRAT INC & GR  COM            67073B106         10,267       1,697       X        28-5284      1697
NUVEEN MULTI STRAT INC GR FD COM SHS        67073D102          3,671         616       X        28-5284       616
                                                              10,418       1,748       X      X 28-5284      1748
O CHARLEYS INC               COM            670823103          1,488         170       X        28-5284                          170
   COLUMN TOTAL                                              893,898








                                                                                                                    FILE NO. 28-1235
PAGE 153 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
OGE ENERGY CORP              COM            670837103        251,857       8,156       X        28-5284      8042                114
                                                             239,011       7,740       X      X 28-5284      7740
OM GROUP INC                 COM            670872100         21,150         940       X        28-5284       680                260
NUVEEN CORE EQUITY ALPHA FUN COM            67090X107         13,766       1,133       X        28-5284      1133
NUVEEN MUN VALUE FD INC      COM            670928100      3,037,454     322,790       X        28-5284    322790
                                                             283,796      30,159       X      X 28-5284     30159
                                                               9,410       1,000       X        28-4580      1000
NUVEEN NJ INVT QUALITY MUN F COM            670971100         56,126       5,320       X        28-5284      5320
                                                              10,550       1,000       X      X 28-5284      1000
NUVEEN PA INVT QUALITY MUN F COM            670972108        236,712      23,326       X        28-5284     23326
                                                             187,363      18,463       X      X 28-5284     18463
NUVEEN SELECT QUALITY MUN FD COM            670973106         95,592       8,400       X        28-5284      8400
NUVEEN QUALITY INCOME MUN FD COM            670977107        170,509      15,643       X        28-5284     15643
                                                              68,310       6,267       X      X 28-5284      6267
NUVEEN INSD MUN OPPORTUNITY  COM            670984103         54,908       5,180       X      X 28-5284      5180
NUVEEN PREMIER MUN INCOME FD COM            670988104         40,600       4,000       X        28-5284      4000
NUVEEN NJ PREM INCOME MUN FD COM            67101N106        208,221      19,138       X        28-5284     19138
OSI PHARMACEUTICALS INC      COM            671040103          5,422         110       X        28-5284       110
                                                              75,611       1,534       X      X 28-5284      1534
OYO GEOSPACE CORP            COM            671074102        111,948       2,850       X      X 28-5284      2850
OBAGI MEDICAL PRODUCTS INC   COM            67423R108         49,900       5,000       X      X 28-5284      5000
OCCIDENTAL PETE CORP DEL     COM            674599105     29,873,266     424,035       X        28-5284    387671              36364
                                                           9,601,067     136,282       X      X 28-5284    122863     3186     10233
                                                             673,079       9,554       X        28-11135     9554
                                                             487,796       6,924       X        28-4580      6924
                                                             114,129       1,620       X      X 28-4580      1620
OCEAN PWR TECHNOLOGIES INC   COM NEW        674870308         33,400       4,000       X        28-5284      4000
   COLUMN TOTAL                                           46,010,953








                                                                                                                    FILE NO. 28-1235
PAGE 154 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
OCEANEERING INTL INC         COM            675232102         23,461         440       X        28-5284                          440
                                                             602,516      11,300       X      X 28-5284     10900                400
                                                               6,932         130       X        28-11135      130
OCEANFIRST FINL CORP         COM            675234108         72,951       4,026       X      X 28-5284      4026
OCWEN FINL CORP              NOTE  3.250% 8 675746AD3      1,550,614       1,730       X        28-11439     1730
OCWEN FINL CORP              COM NEW        675746309        373,351      46,379       X        28-11135    46379
ODYSSEY HEALTHCARE INC       COM            67611V101         92,365       9,100       X        28-5284                         9100
OFFICEMAX INC DEL            COM            67622P101          1,227         138       X        28-5284       138
OFFICE DEPOT INC             COM            676220106          4,126         709       X        28-5284       709
                                                               1,164         200       X      X 28-5284       200
OIL SVC HOLDRS TR            DEPOSTRY RCPT  678002106         88,020         600       X        28-5284       600
                                                             150,514       1,026       X      X 28-5284       600                426
OIL STS INTL INC             COM            678026105         47,652       1,348       X        28-11135     1348
OLD LINE BANCSHARES INC      COM            67984M100        232,500      30,000       X      X 28-5284     30000
OLD NATL BANCORP IND         COM            680033107          5,005         250       X        28-5284       250
OLD REP INTL CORP            COM            680223104        488,963      38,350       X        28-5284     30505               7845
                                                           2,402,432     188,426       X      X 28-5284    186146               2280
                                                               3,978         312       X        28-4580       312
OLIN CORP                    COM PAR $1     680665205          2,949         152       X        28-5284       152
                                                             243,645      12,559       X      X 28-5284     12559
OMNICARE INC                 COM            681904108      4,816,069     167,399       X        28-5284    148526              18873
                                                             508,165      17,663       X      X 28-5284     12183     1100      4380
OMNICOM GROUP INC            COM            681919106     31,729,212     822,853       X        28-5284    782363              40490
                                                          19,873,901     515,402       X      X 28-5284    488704     7348     19350
                                                              46,349       1,202       X        28-11135     1202
                                                             493,568      12,800       X        28-4580     12616                184
                                                             117,415       3,045       X      X 28-4580      1045     2000
   COLUMN TOTAL                                           63,979,044








                                                                                                                    FILE NO. 28-1235
PAGE 155 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
OMEGA HEALTHCARE INVS INC    COM            681936100        460,437      23,420       X        28-5284     23420
                                                              23,789       1,210       X      X 28-5284      1210
OMRIX BIOPHARMACEUTICALS INC COM            681989109         10,764         600       X      X 28-5284       600
                                                             191,904      10,697       X        28-11135    10697
OMEGA FLEX INC               COM            682095104        112,096       4,971       X        28-5284      4971
                                                               3,383         150       X      X 28-5284       150
OMNITURE INC                 COM            68212S109         18,360       1,000       X        28-5284      1000
OMNOVA SOLUTIONS INC         COM            682129101            537         270       X        28-5284                          270
OMNICELL INC                 COM            68213N109         19,725       1,500       X      X 28-5284      1500
OMNICARE CAP TR I            PIERS          68214Q200      3,943,833     100,000       X        28-11439   100000
ON ASSIGNMENT INC            COM            682159108          1,970         250       X        28-5284                          250
ON SEMICONDUCTOR CORP        COM            682189105          2,055         304       X        28-5284       304
                                                              20,280       3,000       X      X 28-5284      3000
                                                                 487          72       X        28-11135       72
ONEOK PARTNERS LP            UNIT LTD PARTN 68268N103        218,139       4,300       X        28-5284      4300
                                                             147,117       2,900       X      X 28-5284      2900
ONEOK INC NEW                COM            682680103        262,266       7,624       X        28-5284      3599               4025
                                                             415,380      12,075       X      X 28-5284     12075
                                                               2,236          65       X        28-11135       65
ONLINE RES CORP              COM            68273G101          3,551         457       X        28-5284       457
ONSTREAM MEDIA CORP          COM            682875109            630       2,172       X        28-5284      2172
ONVIA INC                    COM NEW        68338T403         19,926       4,389       X      X 28-5284               4389
ONYX PHARMACEUTICALS INC     COM            683399109          3,618         100       X        28-5284       100
                                                              18,090         500       X      X 28-5284       500
OPEN JT STK CO-VIMPEL COMMUN SPONSORED ADR  68370R109        234,465      11,550       X        28-5284     11550
OPKO HEALTH INC              COM            68375N103         10,500       6,000       X      X 28-5284      6000
   COLUMN TOTAL                                            6,145,538








                                                                                                                    FILE NO. 28-1235
PAGE 156 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
OPLINK COMMUNICATIONS INC    COM NEW        68375Q403         50,066       4,148       X      X 28-5284               4148
OPNEXT INC                   COM            68375V105            918         200       X        28-5284       200
OPPENHEIMER HLDGS INC        CL A NON VTG   683797104         17,395         700       X        28-5284       700
OPTICAL CABLE CORP           COM NEW        683827208        150,960      36,376       X      X 28-5284              36376
ORACLE CORP                  COM            68389X105     79,985,370   3,938,226       X        28-5284   3712617             225609
                                                          40,758,616   2,006,825       X      X 28-5284   1855363    22334    129128
                                                           1,756,693      86,494       X        28-11135    86494
                                                           1,477,715      72,758       X        28-4580     71084               1674
                                                             585,801      28,843       X      X 28-4580     28843
OPTIONSXPRESS HLDGS INC      COM            684010101          3,884         200       X        28-5284       200
                                                              14,759         760       X      X 28-5284       760
ORBITAL SCIENCES CORP        NOTE  2.438% 1 685564AN6        224,000       2,000       X        28-4580      2000
ORBITAL SCIENCES CORP        COM            685564106          7,191         300       X        28-5284       300
                                                              23,970       1,000       X      X 28-5284      1000
O REILLY AUTOMOTIVE INC      COM            686091109         97,175       3,630       X        28-5284      3630
                                                               2,677         100       X      X 28-5284       100
                                                             238,788       8,920       X        28-11135     8920
ORITANI FINL CORP            COM            686323106         33,700       2,000       X        28-5284      2000
ORIX CORP                    SPONSORED ADR  686330101         19,565         314       X        28-5284       314
                                                                 249           4       X      X 28-5284         4
                                                              68,790       1,104       X        28-11135     1104
ORTHOLOGIC CORP              COM            68750J107        285,030     325,377       X      X 28-5284             325377
OSCIENT PHARMACEUTICALS CORP COM NEW        68812R303            141         128       X        28-5284       128
OSHKOSH CORP                 COM            688239201      5,025,225     381,856       X        28-5284    345629              36227
                                                             686,965      52,201       X      X 28-5284     24701              27500
                                                             165,921      12,608       X        28-11135    12608
OSTEOTECH INC                COM            688582105            554         130       X        28-5284                          130
OTELCO INC                   INCME DEP SECS 688823202          1,329         100       X      X 28-5284       100
   COLUMN TOTAL                                          131,683,447








                                                                                                                    FILE NO. 28-1235
PAGE 157 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
OTTER TAIL CORP              COM            689648103         12,292         400       X      X 28-5284       400
OVERSEAS SHIPHOLDING GROUP I COM            690368105         32,654         560       X      X 28-5284       560
OWENS & MINOR INC NEW        COM            690732102         16,005         330       X        28-5284                          330
                                                              14,550         300       X      X 28-5284       300
OWENS CORNING NEW            COM            690742101          6,025         252       X        28-5284       252
                                                               4,782         200       X      X 28-5284                          200
OWENS ILL INC                COM NEW        690768403      5,501,357     187,121       X        28-5284    177953               9168
                                                           2,653,438      90,253       X      X 28-5284     85428      200      4625
                                                              27,430         933       X        28-11135      933
                                                             195,275       6,642       X        28-4580      6642
                                                              61,005       2,075       X      X 28-4580      2075
OXFORD INDS INC              COM            691497309          3,358         130       X        28-5284                          130
                                                              59,409       2,300       X      X 28-5284      2300
OXIGENE INC                  COM            691828107          2,220       2,000       X        28-5284      2000
PAB BANKSHARES INC           COM            69313P101      1,844,340     276,928       X        28-1500    276928
PCM FUND INC                 COM            69323T101        107,965      14,300       X      X 28-5284                        14300
PC-TEL INC                   COM            69325Q105          1,305         140       X        28-5284                          140
PG&E CORP                    COM            69331C108        352,217       9,405       X        28-5284      5805     1800      1800
                                                             300,349       8,020       X      X 28-5284      8020
PHC INC MASS                 CL A           693315103          8,330       3,500       X      X 28-5284      3500
PHH CORP                     COM NEW        693320202          4,107         309       X      X 28-5284       309
P F CHANGS CHINA BISTRO INC  COM            69333Y108          4,708         200       X        28-5284                          200
                                                              85,921       3,650       X      X 28-5284      3650
PGT INC                      COM            69336V101          3,030       1,000       X        28-5284      1000
PICO HLDGS INC               COM NEW        693366205          4,956         138       X        28-5284                          138
                                                             179,550       5,000       X      X 28-5284      5000
   COLUMN TOTAL                                           11,486,578








                                                                                                                    FILE NO. 28-1235
PAGE 158 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
PMC-SIERRA INC               COM            69344F106            742         100       X        28-5284       100
                                                               7,420       1,000       X      X 28-5284      1000
                                                                 505          68       X        28-11135       68
PMI GROUP INC                COM            69344M101          5,522       1,872       X        28-5284                         1872
                                                             386,075     130,873       X      X 28-5284    130873
PNC FINL SVCS GROUP INC      COM            693475105    121,071,444   1,620,769       X        28-5284   1570043     4035     46691
                                                         176,315,381   2,360,313       X      X 28-5284   1530146    23656    806511
                                                           8,850,830     118,485       X        28-4580    114810               3675
                                                           6,856,713      91,790       X      X 28-4580     88565               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 CV D $1.80 693475501        111,540       1,014       X        28-5284      1014
                                                               2,750          25       X      X 28-5284        25
POSCO                        SPONSORED ADR  693483109        375,721       4,024       X        28-5284        24               4000
                                                             140,428       1,504       X      X 28-5284      1504
PNM RES INC                  COM            69349H107        496,947      48,530       X        28-5284     44805               3725
                                                              88,525       8,645       X      X 28-5284      7645               1000
PPG INDS INC                 COM            693506107     23,065,968     395,507       X        28-5284    378696              16811
                                                          31,817,992     545,576       X      X 28-5284    528193     2100     15283
                                                              85,672       1,469       X        28-11135     1469
                                                             237,187       4,067       X        28-4580      4067
                                                           1,002,579      17,191       X      X 28-4580     17191
PPL CORP                     COM            69351T106     16,737,593     452,123       X        28-5284    442723      900      8500
                                                          22,425,124     605,757       X      X 28-5284    586022      945     18790
                                                               3,998         108       X        28-11135      108
                                                              57,899       1,564       X        28-4580      1564
                                                              48,126       1,300       X      X 28-4580      1300
PSS WORLD MED INC            COM            69366A100         17,550         900       X        28-5284       900
                                                             229,125      11,750       X      X 28-5284     11750
PACCAR INC                   COM            693718108         77,488       2,029       X        28-5284       949               1080
                                                              57,285       1,500       X      X 28-5284      1500
                                                             301,395       7,892       X        28-11135     7892
PACER INTL INC TENN          COM            69373H106          1,367          83       X        28-5284        83
   COLUMN TOTAL                                          410,876,891








                                                                                                                    FILE NO. 28-1235
PAGE 159 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
PACHOLDER HIGH YIELD FD INC  COM            693742108         11,655       1,807       X        28-5284      1807
                                                              16,125       2,500       X      X 28-5284      2500
PACIFIC CAP BANCORP NEW      COM            69404P101          1,486          73       X        28-5284        73
                                                              30,525       1,500       X      X 28-5284                         1500
                                                             305,250      15,000       X        28-1500     15000
PACIFIC ETHANOL INC          COM            69423U107             35          25       X        28-5284        25
                                                                  25          18       X        28-4580        18
PACIFIC MERCANTILE BANCORP   COM            694552100         26,440       4,000       X        28-4580                         4000
PACIFIC PREMIER BANCORP      COM            69478X105        627,036     122,900       X        28-1500    122900
PACKAGING CORP AMER          COM            695156109         77,421       3,340       X        28-5284                         3340
PACTIV CORP                  COM            695257105         86,235       3,473       X        28-5284      3473
                                                              29,945       1,206       X      X 28-5284      1206
                                                              21,627         871       X        28-11135      871
                                                              17,406         701       X        28-4580       701
PACWEST BANCORP DEL          COM            695263103        720,468      25,200       X        28-1500     25200
PALL CORP                    COM            696429307        149,459       4,346       X        28-5284      4346
                                                              34,390       1,000       X      X 28-5284      1000
                                                              16,266         473       X        28-11135      473
PALM INC NEW                 COM            696643105          6,412       1,074       X        28-5284      1074
                                                              59,927      10,038       X      X 28-5284     10010                 28
PAN AMERICAN SILVER CORP     COM            697900108         22,230       1,000       X      X 28-5284      1000
PANERA BREAD CO              CL A           69840W108        849,674      16,693       X        28-5284     14478               2215
                                                             657,119      12,910       X      X 28-5284      9030               3880
PAPA JOHNS INTL INC          COM            698813102         56,113       2,066       X        28-5284      2066
                                                              40,740       1,500       X        28-4580      1500
PARAGON SHIPPING INC         CL A           69913R309          5,964         700       X      X 28-5284       700
                                                             101,201      11,878       X        28-11135    11878
PARAMETRIC TECHNOLOGY CORP   COM NEW        699173209        106,591       5,793       X        28-5284      5793
                                                                  18           1       X        28-11135        1
   COLUMN TOTAL                                            4,077,783








                                                                                                                    FILE NO. 28-1235
PAGE 160 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
PAREXEL INTL CORP            COM            699462107         13,184         460       X        28-5284                          460
                                                             311,305      10,862       X        28-11135    10862
PARK ELECTROCHEMICAL CORP    COM            700416209         17,041         703       X        28-5284       533                170
                                                               1,915          79       X        28-11135       79
PARK NATL CORP               COM            700658107        148,200       1,900       X        28-5284      1900
PARKE BANCORP INC            COM            700885106        192,694      21,494       X      X 28-5284     21494
PARKER DRILLING CO           COM            701081101          5,614         700       X      X 28-5284       700
PARKER HANNIFIN CORP         COM            701094104        318,901       6,017       X        28-5284      5797                220
                                                             931,687      17,579       X      X 28-5284     14879               2700
                                                             114,639       2,163       X        28-11135     2163
PARKVALE FINL CORP           COM            701492100         32,784       2,049       X      X 28-4580      2049
PARKWAY PPTYS INC            COM            70159Q104          1,363          36       X        28-11135       36
PARTICLE DRILLING TECHNOLOGI COM            70212G101         20,200     100,000       X      X 28-5284             100000
PATRICK INDS INC             COM            703343103         11,696       2,150       X        28-5284      2150
PATRIOT COAL CORP            COM            70336T104         93,483       3,218       X        28-5284      2988                230
                                                             119,047       4,098       X      X 28-5284      3424                674
                                                              10,749         370       X      X 28-4580       370
PATTERSON COMPANIES INC      COM            703395103        213,630       7,025       X        28-5284      7025
                                                             388,092      12,762       X      X 28-5284      4762               8000
                                                              17,182         565       X        28-11135      565
PATTERSON UTI ENERGY INC     COM            703481101      1,433,973      71,627       X        28-5284     63673               7954
                                                             201,221      10,051       X      X 28-5284      9836                215
PAYCHEX INC                  COM            704326107      8,918,298     270,006       X        28-5284    265106               4900
                                                           2,238,476      67,771       X      X 28-5284     54478              13293
                                                              13,873         420       X        28-11135      420
                                                              17,968         544       X        28-4580       544
                                                              27,745         840       X      X 28-4580       840
   COLUMN TOTAL                                           15,814,960








                                                                                                                    FILE NO. 28-1235
PAGE 161 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
PEABODY ENERGY CORP          COM            704549104      3,013,605      66,969       X        28-5284     45784              21185
                                                           2,373,345      52,741       X      X 28-5284     34806     3520     14415
                                                              60,750       1,350       X      X 28-4580      1350
PEAPACK-GLADSTONE FINL CORP  COM            704699107         67,335       2,010       X        28-5284      2010
                                                              40,535       1,210       X      X 28-5284      1210
PEARSON PLC                  SPONSORED ADR  705015105          6,976         640       X        28-5284       640
PECO II INC                  COM NEW        705221208        429,338     114,490       X      X 28-5284             114490
PEDIATRIX MED GROUP          COM            705324101         22,700         421       X        28-5284        41                380
PEERLESS SYS CORP            COM            705536100          9,000       5,000       X      X 28-5284                         5000
PEETS COFFEE & TEA INC       COM            705560100         19,544         700       X        28-5284       700
PENGROWTH ENERGY TR          TR UNIT NEW    706902509        146,651       9,816       X        28-5284      9816
                                                             741,876      49,657       X      X 28-5284     49657
PENFORD CORP                 COM            707051108          1,592          90       X        28-5284                           90
PENN NATL GAMING INC         COM            707569109         42,512       1,600       X        28-5284      1600
                                                              37,198       1,400       X      X 28-5284       400               1000
                                                               2,019          76       X        28-11135       76
PENN VA CORP                 COM            707882106        267,200       5,000       X        28-5284      5000
PENN VA RESOURCES PARTNERS L COM            707884102         44,523       2,700       X        28-5284      2700
                                                               8,245         500       X      X 28-5284       500
PENN WEST ENERGY TR          TR UNIT        707885109        200,030       8,300       X        28-5284      8300
                                                             426,859      17,712       X      X 28-5284     13212     4500
PENNANTPARK INVT CORP        COM            708062104          1,326         179       X        28-5284       179
PENNEY J C INC               COM            708160106        866,307      25,984       X        28-5284     24464               1520
                                                             583,917      17,514       X      X 28-5284     17314                200
                                                              10,235         307       X        28-4580       307
                                                               8,335         250       X      X 28-4580       250
PENNSYLVANIA COMM BANCORP IN COM            708677109         82,037       2,752       X        28-5284      2752
   COLUMN TOTAL                                            9,513,990








                                                                                                                    FILE NO. 28-1235
PAGE 162 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
PENNSYLVANIA RL ESTATE INVT  SH BEN INT     709102107        428,951      22,756       X        28-5284     22116                640
                                                           1,036,882      55,007       X      X 28-5284     52007               3000
PENSON WORLDWIDE INC         COM            709600100          4,161         300       X      X 28-5284       300
PENTAIR INC                  COM            709631105        144,952       4,193       X        28-5284      4100                 93
                                                             988,702      28,600       X      X 28-5284     12900              15700
PEOPLES FINL CORP MISS       COM            71103B102        245,580      12,000       X        28-1500     12000
PEOPLES UNITED FINANCIAL INC COM            712704105         12,320         640       X        28-5284       240                400
                                                             336,028      17,456       X      X 28-5284                        17456
                                                                 308          16       X        28-11135       16
PEP BOYS MANNY MOE & JACK    COM            713278109          2,101         340       X        28-5284                          340
PEPCO HOLDINGS INC           COM            713291102        663,405      28,957       X        28-5284     28287                670
                                                           1,219,087      53,212       X      X 28-5284     49049               4163
                                                             128,800       5,622       X        28-4580      5622
                                                              88,616       3,868       X      X 28-4580      3868
PEPSI BOTTLING GROUP INC     COM            713409100        158,947       5,449       X        28-5284      5449
                                                                  58           2       X      X 28-5284         2
                                                               5,834         200       X        28-4580       200
PEPSIAMERICAS INC            COM            71343P200        289,376      13,966       X        28-5284     10681               3285
                                                             120,798       5,830       X      X 28-5284      5466                364
PEPSICO INC                  COM            713448108    171,922,412   2,412,269       X        28-5284   2293233             119036
                                                         124,378,551   1,745,174       X      X 28-5284   1602514     8852    133808
                                                             456,342       6,403       X        28-11135     6403
                                                           2,927,772      41,080       X        28-4580     40890                190
                                                           1,744,405      24,476       X      X 28-4580     23720      756
PERICOM SEMICONDUCTOR CORP   COM            713831105          2,205         210       X        28-5284                          210
PERKINELMER INC              COM            714046109        258,464      10,351       X        28-5284     10351
                                                             166,300       6,660       X      X 28-5284      4360               2300
                                                              21,399         857       X        28-11135      857
PERMIAN BASIN RTY TR         UNIT BEN INT   714236106          6,972         300       X        28-5284       300
                                                              81,898       3,524       X      X 28-5284      3524
   COLUMN TOTAL                                          307,841,626








                                                                                                                    FILE NO. 28-1235
PAGE 163 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
PEROT SYS CORP               CL A           714265105        289,120      16,664       X        28-11135    16664
PERRIGO CO                   COM            714290103        348,832       9,070       X        28-11135     9070
P T TELEKOMUNIKASI INDONESIA SPONSORED ADR  715684106            357          12       X        28-5284        12
                                                              33,086       1,111       X      X 28-5284      1111
                                                               9,679         325       X        28-11135      325
PETMED EXPRESS INC           COM            716382106        678,083      43,190       X      X 28-5284     43190
PETRO-CDA                    COM            71644E102          3,335         100       X        28-5284       100
                                                               6,670         200       X      X 28-5284                          200
                                                               3,335         100       X      X 28-4580       100
PETROCHINA CO LTD            SPONSORED  ADR 71646E100         80,129         780       X        28-5284       780
                                                             387,806       3,775       X      X 28-5284      3775
                                                               3,493          34       X        28-11135       34
                                                              28,251         275       X        28-4580       275
PETROBRAS ENERGIA PARTCPTNS  SP ADR B SHS   71646M102         61,687       6,269       X      X 28-5284      4269               2000
PETROHAWK ENERGY CORP        COM            716495106         38,653       1,787       X        28-5284      1537                250
                                                              12,978         600       X      X 28-5284       600
PETROLEO BRASILEIRO SA PETRO SP ADR NON VTG 71654V101          1,123          30       X      X 28-5284        30
PETROLEO BRASILEIRO SA PETRO SPONSORED ADR  71654V408        238,209       5,420       X        28-5284      5420
                                                             228,980       5,210       X      X 28-5284      4810                400
                                                              45,620       1,038       X        28-11135     1038
PETROLEUM & RES CORP         COM            716549100        165,548       5,608       X        28-5284      5608
                                                              19,129         648       X      X 28-5284       648
PETSMART INC                 COM            716768106        251,251      10,168       X        28-5284     10168
                                                             355,453      14,385       X      X 28-5284      8750               5635
PFIZER INC                   COM            717081103    108,864,781   5,903,730       X        28-5284   5585125             318605
                                                         115,771,981   6,278,307       X      X 28-5284   5517713    74364    686230
                                                           1,310,162      71,050       X        28-11135    71050
                                                           1,400,039      75,924       X        28-4580     75924
                                                           1,936,532     105,018       X      X 28-4580    103762     1256
PFSWEB INC                   COM NEW        717098206      1,229,274     510,072       X      X 28-5284             510072
   COLUMN TOTAL                                          233,803,576








                                                                                                                    FILE NO. 28-1235
PAGE 164 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
PHARMACEUTICAL HLDRS TR      DEPOSITRY RCPT 71712A206         19,920         300       X        28-5284       300
                                                               6,640         100       X      X 28-5284       100
PHARMACEUTICAL PROD DEV INC  COM            717124101        789,165      19,085       X        28-5284     17651               1434
                                                             523,078      12,650       X      X 28-5284      9540               3110
                                                               5,376         130       X        28-11135      130
PHARMOS CORP                 COM PAR $.03   717139307         53,821     299,008       X      X 28-5284             299008
PHARMERICA CORP              COM            71714F104          1,754          78       X      X 28-5284        78
PHILADELPHIA CONS HLDG CORP  COM            717528103          1,816          31       X        28-5284        31
                                                                 117           2       X      X 28-5284         2
                                                               6,560         112       X        28-11135      112
PHILIP MORRIS INTL INC       COM            718172109     59,995,467   1,247,307       X        28-5284   1214495              32812
                                                         203,093,881   4,222,326       X      X 28-5284   4156227     2854     63245
                                                             816,065      16,966       X        28-11135    16966
                                                           2,829,964      58,835       X        28-4580     56735               2100
                                                           2,085,327      43,354       X      X 28-4580     43354
PHILIPPINE LONG DISTANCE TEL SPONSORED ADR  718252604            676          12       X        28-11135       12
PHILLIPS VAN HEUSEN CORP     COM            718592108          2,843          75       X        28-5284        75
                                                               3,033          80       X        28-11135       80
PHOENIX COS INC NEW          COM            71902E109         23,876       2,584       X        28-5284      2584
                                                               1,063         115       X      X 28-5284       115
                                                              21,363       2,312       X                     2312
PHOENIX TECHNOLOGY LTD       COM            719153108          1,598         200       X        28-5284                          200
PHOTON DYNAMICS INC          COM            719364101          2,149         140       X        28-5284                          140
PHOTRONICS INC               COM            719405102            583         310       X        28-5284                          310
PIEDMONT NAT GAS INC         COM            720186105        461,375      14,436       X        28-5284     13876                560
                                                              22,372         700       X      X 28-5284       500                200
PIMCO MUNICIPAL INCOME FD    COM            72200R107         16,296       1,200       X        28-5284      1200
PIMCO CORPORATE INCOME FD    COM            72200U100        185,650      19,750       X        28-5284      2450              17300
                                                              26,320       2,800       X      X 28-5284      2800
   COLUMN TOTAL                                          270,998,148








                                                                                                                    FILE NO. 28-1235
PAGE 165 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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 MUN INCOME FD II       COM            72200W106         13,560       1,200       X        28-5284      1200
                                                             192,100      17,000       X      X 28-5284      4000              13000
PIMCO STRATEGIC GBL GOV FD I COM            72200X104         85,400       8,750       X        28-5284      8750
                                                              30,256       3,100       X      X 28-5284      3100
PIMCO MUN INCOME FD III      COM            72201A103         13,409       1,200       X        28-5284      1200
PIMCO CORPORATE OPP FD       COM            72201B101         91,350       9,000       X      X 28-5284      9000
PIMCO FLOATING RATE INCOME F COM            72201H108        402,200      40,000       X        28-5284       400              39600
PIMCO HIGH INCOME FD         COM SHS        722014107        283,827      33,235       X        28-5284      1735              31500
                                                              42,700       5,000       X      X 28-5284      5000
PIMCO INCOME OPPORTUNITY FD  COM            72202B100         46,750       2,500       X      X 28-5284      2500
PINNACLE AIRL CORP           COM            723443107            565         142       X        28-11135      142
PINNACLE WEST CAP CORP       COM            723484101         55,194       1,604       X        28-5284      1604
                                                             281,130       8,170       X      X 28-5284      8170
PIONEER HIGH INCOME TR       COM            72369H106             83           8       X        28-5284         8
PIONEER FLOATING RATE TR     COM            72369J102          8,509         850       X      X 28-5284       850
PIONEER MUN HIGH INC ADV TR  COM            723762100         14,476       1,400       X      X 28-5284      1400
PIONEER NAT RES CO           COM            723787107        158,983       3,041       X        28-5284      2809                232
                                                             470,625       9,002       X      X 28-5284      6602               2400
                                                              15,370         294       X        28-11135      294
PIPER JAFFRAY COS            COM            724078100          6,401         148       X        28-5284       148
                                                                 389           9       X      X 28-5284         9
PIPEX PHARM INC              COM NEW        724153200            118         200       X      X 28-5284       200
PITNEY BOWES INC             COM            724479100      7,644,079     229,828       X        28-5284    216228              13600
                                                           9,559,290     287,411       X      X 28-5284    277886               9525
                                                              10,976         330       X        28-11135      330
                                                             381,792      11,479       X        28-4580     10879                600
                                                             137,064       4,121       X      X 28-4580      4121
   COLUMN TOTAL                                           19,946,596








                                                                                                                    FILE NO. 28-1235
PAGE 166 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
PITTSBURGH & W VA RR         SH BEN INT     724819107          1,258         134       X      X 28-5284       134
PLAINS ALL AMERN PIPELINE L  UNIT LTD PARTN 726503105         40,848       1,031       X        28-5284      1031
                                                           1,017,838      25,690       X      X 28-5284     24690     1000
                                                               1,189          30       X        28-11135       30
PLAINS EXPL& PRODTN CO       COM            726505100        114,411       3,254       X        28-5284      3254
                                                              14,873         423       X      X 28-5284       423
                                                                 492          14       X        28-11135       14
PLANTRONICS INC NEW          COM            727493108         21,281         945       X        28-5284       945
PLEXUS CORP                  COM            729132100        121,095       5,850       X        28-5284      5850
PLUG POWER INC               COM            72919P103          1,871       1,890       X      X 28-5284      1890
PLUM CREEK TIMBER CO INC     COM            729251108      1,005,527      20,167       X        28-5284     20167
                                                           3,610,961      72,422       X      X 28-5284     52422      500     19500
                                                              18,049         362       X        28-11135      362
                                                              99,720       2,000       X      X 28-4580      2000
POLARIS INDS INC             COM            731068102         12,737         280       X        28-5284                          280
                                                               2,275          50       X      X 28-5284                           50
POLO RALPH LAUREN CORP       CL A           731572103         33,320         500       X        28-5284                          500
                                                               6,664         100       X      X 28-5284       100
POLYONE CORP                 COM            73179P106          4,322         670       X        28-5284                          670
POOL CORPORATION             COM            73278L105        159,227       6,825       X      X 28-5284                         6825
POPULAR INC                  COM            733174106         25,848       3,118       X        28-5284      2598                520
PORTFOLIO RECOVERY ASSOCS IN COM            73640Q105        905,004      18,610       X        28-5284     18610
PORTUGAL TELECOM SGPS S A    SPONSORED ADR  737273102         20,654       2,049       X        28-5284      2049
POST PPTYS INC               COM            737464107        125,781       4,497       X        28-5284      4497
                                                              60,975       2,180       X      X 28-5284      2180
   COLUMN TOTAL                                            7,426,220








                                                                                                                    FILE NO. 28-1235
PAGE 167 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
POTASH CORP SASK INC         COM            73755L107      3,251,802      24,633       X        28-5284     22460               2173
                                                           1,644,977      12,461       X      X 28-5284      9011               3450
                                                               7,525          57       X        28-11135       57
                                                             173,197       1,312       X        28-4580      1312
                                                              38,019         288       X      X 28-4580       288
POTLATCH CORP NEW            COM            737630103          1,577          34       X        28-5284        34
                                                              18,556         400       X      X 28-5284       400
POWER INTEGRATIONS INC       COM            739276103          9,640         400       X        28-5284                          400
POWER-ONE INC                COM            739308104          1,450       1,000       X        28-5284      1000
POWERSHARES QQQ TRUST        UNIT SER 1     73935A104     10,707,254     275,180       X        28-5284    273301               1879
                                                           4,005,629     102,946       X      X 28-5284     99471               3475
                                                              95,135       2,445       X        28-4580      2445
                                                             127,664       3,281       X      X 28-4580      3281
POWERSHARES INDIA ETF TR     INDIA PORT     73935L100          5,088         300       X        28-5284       300
POWERSHARES DB CMDTY IDX TRA UNIT BEN INT   73935S105         35,246       1,040       X        28-5284      1040
                                                              29,823         880       X      X 28-5284       880
                                                              67,678       1,997       X      X 28-4580      1997
POWERSHARES ETF TRUST        PRVT EQTY PORT 73935X195      1,419,616      87,200       X        28-5284     87200
POWERSHARES ETF TRUST        CLEANTECH PORT 73935X278          7,935         310       X        28-5284       310
POWERSHARES ETF TRUST        BNKING SEC POR 73935X336        215,119      10,509       X        28-5284     10509
POWERSHARES ETF TRUST        GOLDEN DRG USX 73935X401         51,149       2,685       X      X 28-5284      2685
POWERSHARES ETF TRUST        WNDRHLL CLN EN 73935X500         78,312       5,270       X        28-5284      5270
                                                             248,548      16,726       X      X 28-5284     16026                700
POWERSHARES ETF TRUST        WATER RESOURCE 73935X575         85,560       4,650       X        28-5284      4650
                                                             695,704      37,810       X      X 28-5284     34810               3000
POWERSHARES ETF TRUST        FTSE RAFI 1000 73935X583      2,625,415      57,854       X        28-5284     57854
                                                           4,539,861     100,041       X      X 28-5284     20041              80000
                                                             301,278       6,639       X        28-4580      6639
                                                             101,152       2,229       X      X 28-4580      2229
   COLUMN TOTAL                                           30,589,909








                                                                                                                    FILE NO. 28-1235
PAGE 168 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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 LRG CP GR 73935X609         52,486       3,590       X        28-5284      3590
POWERSHARES ETF TRUST        DYN OIL SVCS   73935X625          8,048         370       X      X 28-5284       370
POWERSHARES ETF TRUST        DYN BLDG CNSTR 73935X666         11,336         800       X      X 28-5284       800
POWERSHARES ETF TRUST        VAL LINE TIME  73935X682         13,670       1,000       X        28-5284      1000
POWERSHARES ETF TRUST        DYNM LRG CP VL 73935X708         53,782       3,188       X        28-5284      3188
POWERSHARES ETF TRUST        INTL DIV ACHV  73935X716         37,505       2,500       X        28-5284      2500
                                                              39,005       2,600       X      X 28-5284      1600               1000
                                                               4,501         300       X      X 28-4580       300
POWERSHARES ETF TRUST        DYN SFTWR PORT 73935X773          8,131         500       X        28-5284       500
POWERSHARES ETF TRUST        DYNM MC GRWTH  73935X807         15,458         866       X        28-5284       866
                                                              21,420       1,200       X      X 28-5284      1200
POWERSHARES ETF TRUST        DYN BIOT & GEN 73935X856         17,648         975       X        28-5284       975
POWERSHARES ETF TRUST        DYNM SM CP VAL 73935X864         10,289         726       X        28-5284       726
POWERSHARES ETF TRUST        DYNM SM CP GRW 73935X872         13,953         984       X        28-5284       984
POWERSHARES ETF TRUST        DYMN MC VAL    73935X880         12,955         899       X        28-5284       899
POWERSHARES DB G10 CURCY HAR COM UT BEN INT 73935Y102          8,491         350       X        28-5284       350
POWERSHS DB MULTI SECT COMM  DB AGRICULT FD 73936B408         34,742       1,150       X        28-5284      1150
POWERSHS DB US DOLLAR INDEX  DOLL INDX BULL 73936D107         24,929       1,020       X        28-5284      1020
POWERSHS DB US DOLLAR INDEX  DOLL INDX BEAR 73936D206         36,544       1,355       X        28-5284      1355
POWERSHARES GLOBAL ETF TRUST GBL CLEAN ENER 73936T615        145,692       7,600       X      X 28-5284      7600
POWERSHARES GLOBAL ETF TRUST GBL WTR PORT   73936T623            825          50       X        28-5284        50
                                                             246,857      14,961       X      X 28-5284      8461               6500
POWERWAVE TECHNOLOGIES INC   COM            739363109         19,800       5,000       X        28-5284      5000
POWERSHARES ETF TR II        GLB NUCLR ENRG 73937B100          1,890         100       X      X 28-4580       100
   COLUMN TOTAL                                              839,957








                                                                                                                    FILE NO. 28-1235
PAGE 169 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
POZEN INC                    COM            73941U102          7,357         700       X        28-5284       700
                                                               3,153         300       X      X 28-5284       300
PRAXAIR INC                  COM            74005P104     43,542,665     606,951       X        28-5284    573778              33173
                                                          20,075,650     279,839       X      X 28-5284    258509     1820     19510
                                                             331,798       4,625       X        28-11135     4625
                                                             998,764      13,922       X        28-4580     13573                349
                                                             615,960       8,586       X      X 28-4580      8586
PRE PAID LEGAL SVCS INC      COM            740065107          3,301          80       X        28-5284                           80
PRECISION CASTPARTS CORP     COM            740189105      8,322,319     105,640       X        28-5284     94045              11595
                                                           6,547,721      83,114       X      X 28-5284     80375      410      2329
                                                           1,006,099      12,771       X        28-11135    12771
                                                              71,690         910       X        28-4580       910
PRECISION DRILLING TR        TR UNIT        740215108         29,826       1,800       X        28-5284      1500                300
                                                              18,227       1,100       X      X 28-5284      1100
PREFORMED LINE PRODS CO      COM            740444104         50,464         865       X        28-5284       865
PREMIER FINL BANCORP INC     COM            74050M105        985,667     101,094       X        28-1500    101094
PREMIERE GLOBAL SVCS INC     COM            740585104      1,266,806      90,100       X      X 28-5284     90100
PRESIDENTIAL LIFE CORP       COM            740884101          2,526         160       X        28-5284                          160
PRESSTEK INC                 COM            741113104         16,920       3,000       X      X 28-5284               3000
PRESTIGE BRANDS HLDGS INC    COM            74112D101        888,000     100,000       X      X 28-5284    100000
                                                             182,369      20,537       X        28-11135    20537
                                                              53,280       6,000       X        28-4580                         6000
PRESSURE BIOSCIENCES INC     COM            74112E109         84,348      35,590       X      X 28-5284              35590
PRICE T ROWE GROUP INC       COM            74144T108     12,462,331     232,030       X        28-5284    208900              23130
                                                          33,261,583     619,281       X      X 28-5284    579653              39628
                                                              28,037         522       X        28-11135      522
                                                           1,212,235      22,570       X      X 28-4580     22570
PRICELINE COM INC            COM NEW        741503403        253,533       3,705       X        28-5284       110               3595
                                                               4,653          68       X      X 28-5284        68
   COLUMN TOTAL                                          132,327,282








                                                                                                                    FILE NO. 28-1235
PAGE 170 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
PRIDE INTL INC DEL           COM            74153Q102          4,767         161       X        28-5284       161
                                                               2,961         100       X      X 28-5284       100
                                                               1,303          44       X        28-11135       44
PRINCIPAL FINANCIAL GROUP IN COM            74251V102        436,727      10,042       X        28-5284      8602               1440
                                                             457,167      10,512       X      X 28-5284      4112               6400
                                                              16,222         373       X                      373
PROCTER & GAMBLE CO          COM            742718109    576,405,781   8,270,997       X        28-5284   8013064     1050    256883
                                                         421,847,647   6,053,202       X      X 28-5284   5122869    35262    895071
                                                           1,857,239      26,650       X        28-11135    26650
                                                           8,460,087     121,396       X        28-4580    120410                986
                                                           4,767,493      68,410       X      X 28-4580     68110      300
PRIVATEBANCORP INC           COM            742962103         54,158       1,300       X      X 28-5284      1300
PROGENICS PHARMACEUTICALS IN COM            743187106            666          50       X        28-5284        50
                                                              14,641       1,100       X      X 28-5284      1100
PROGRESS ENERGY INC          COM            743263105      3,775,255      87,532       X        28-5284     76161              11371
                                                           2,109,445      48,909       X      X 28-5284     36906      725     11278
                                                             699,698      16,223       X        28-11135    16223
                                                             244,763       5,675       X        28-4580      4925                750
PROGRESS SOFTWARE CORP       COM            743312100          9,356         360       X        28-5284                          360
                                                              47,432       1,825       X        28-11135     1825
PROGRESSIVE CORP OHIO        COM            743315103      1,333,153      76,618       X        28-5284     52918              23700
                                                             728,782      41,884       X      X 28-5284      3843     4360     33681
PROLOGIS                     SH BEN INT     743410102      1,661,118      40,250       X        28-5284     39195               1055
                                                             950,242      23,025       X      X 28-5284     22725                300
                                                              11,391         276       X        28-11135      276
PROSHARES TR                 ULTRA S&P 500  74347R107        492,400      10,000       X        28-5284     10000
PROSHARES TR                 ULTRA QQQ PSHS 74347R206         31,428         600       X      X 28-5284       600
PROSHARES TR                 SHRT MSCI EAFE 74347R370         83,882         880       X      X 28-5284       880
PROSHARES TR                 ULSHRT2000 GRW 74347R420         15,880         200       X        28-5284       200
PROSHARES TR                 SHORT S&P 500  74347R503         51,170         700       X        28-5284       700
                                                             122,077       1,670       X      X 28-5284      1670
   COLUMN TOTAL                                        1,026,694,331








                                                                                                                    FILE NO. 28-1235
PAGE 171 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
PROSHARES TR                 ULTRASHRT FINL 74347R628        565,544       5,600       X        28-5284      5600
                                                           1,009,900      10,000       X      X 28-5284     10000
PROSHARES TR                 ULTRA FINL PRO 74347R743         11,401         650       X        28-5284       650
                                                               5,052         288       X      X 28-5284       288
PROSHARES TR                 SHRT SMLCAP600 74347R784         23,600         320       X      X 28-5284       320
PROSHARES TR                 SHORT MDCAP400 74347R800         52,896         780       X      X 28-5284       780
PROSHARES TR                 ULTSHT RUS2000 74347R834         21,570         300       X      X 28-5284       300
PROSHARES TR                 ULTRASHORT QQQ 74347R875         16,416         300       X        28-5284       300
                                                              27,360         500       X      X 28-5284       500
PROSHARES TR                 ULTRASHT SP500 74347R883      2,323,696      33,054       X        28-5284     23054              10000
                                                           1,082,620      15,400       X      X 28-5284     15400
PROTECTION ONE INC           COM NEW        743663403          2,396         272       X        28-5284       272
                                                               8,810       1,000       X      X 28-5284               1000
PROTECTIVE LIFE CORP         COM            743674103        178,644       6,266       X        28-5284      3508               2758
                                                             109,764       3,850       X      X 28-5284      1600               2250
                                                                 542          19       X        28-11135       19
PROVIDENT BANKSHARES CORP    COM            743859100         15,585       1,605       X        28-5284       800                805
                                                              27,285       2,810       X      X 28-5284      2810
PROVIDENT ENERGY TR          TR UNIT        74386K104        170,261      18,960       X        28-5284     18960
                                                             227,194      25,300       X      X 28-5284     25300
PROVIDENT FINL SVCS INC      COM            74386T105        103,287       6,256       X      X 28-5284      6256
PROXIM WIRELESS CORP         COM            744285107        197,424     519,538       X      X 28-5284             519538
PRUDENTIAL FINL INC          COM            744320102      3,156,984      43,847       X        28-5284     35711               8136
                                                             909,648      12,634       X      X 28-5284      7896      333      4405
                                                              38,016         528       X        28-11135      528
                                                              18,216         253       X        28-4580       253
                                                              12,600         175       X      X 28-4580       175
PRUDENTIAL PLC               ADR            74435K204          8,942         486       X        28-5284       486
                                                             329,728      17,920       X        28-11135    17920
   COLUMN TOTAL                                           10,655,381








                                                                                                                    FILE NO. 28-1235
PAGE 172 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
PSYCHIATRIC SOLUTIONS INC    COM            74439H108          1,063          28       X        28-11135       28
PUBLIC SVC ENTERPRISE GROUP  COM            744573106      6,439,399     196,383       X        28-5284    194463               1920
                                                          26,786,971     816,925       X      X 28-5284    286905             530020
                                                             644,127      19,644       X        28-11135    19644
                                                              46,693       1,424       X        28-4580      1424
                                                             214,709       6,548       X      X 28-4580      6548
PUBLIC STORAGE               COM            74460D109      1,527,031      15,423       X        28-5284     14823                600
                                                             321,188       3,244       X      X 28-5284      1491               1753
                                                              83,267         841       X        28-4580       841
PUBLIC STORAGE               COM A DP1/1000 74460D729         34,138       1,311       X        28-5284      1311
                                                              13,176         506       X      X 28-5284       506
                                                                 417          16       X        28-4580        16
PUGET ENERGY INC NEW         COM            745310102         81,382       3,048       X        28-5284      3048
                                                             137,932       5,166       X      X 28-5284      5166
                                                               3,364         126       X        28-11135      126
PULTE HOMES INC              COM            745867101        193,177      13,828       X        28-5284       200              13628
PURE BIOSCIENCE              COM            746218106          6,340       2,000       X        28-5284      2000
PUTNAM MANAGED MUN INCOM TR  COM            746823103         44,472       6,800       X        28-5284      6800
                                                              12,550       1,919       X      X 28-5284      1919
PUTNAM PREMIER INCOME TR     SH BEN INT     746853100        468,544      86,288       X      X 28-5284     16188              70100
PUTNAM MASTER INTER INCOME T SH BEN INT     746909100          8,290       1,538       X        28-5284      1538
                                                             303,355      56,281       X      X 28-5284                        56281
PUTNAM MUN OPPORTUNITIES TR  SH BEN INT     746922103          5,392         521       X        28-5284       521
                                                               7,763         750       X      X 28-5284       750
QLOGIC CORP                  COM            747277101          3,226         210       X        28-5284       200                 10
                                                              65,864       4,288       X      X 28-5284      2938               1350
                                                               1,167          76       X        28-11135       76
QUAKER CHEM CORP             COM            747316107        116,401       4,090       X        28-5284      4000                 90
                                                              42,690       1,500       X      X 28-5284      1500
   COLUMN TOTAL                                           37,614,088








                                                                                                                    FILE NO. 28-1235
PAGE 173 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
QUALCOMM INC                 COM            747525103     42,531,233     989,789       X        28-5284    918886              70903
                                                          23,874,905     555,618       X      X 28-5284    458608     5467     91543
                                                             139,395       3,244       X        28-11135     3244
                                                           1,032,440      24,027       X        28-4580     23523                504
                                                             200,455       4,665       X      X 28-4580      4487                178
QUALSTAR CORP                COM            74758R109        205,652      68,780       X      X 28-5284              68780
QUALITY SYS INC              COM            747582104         21,130         500       X        28-5284       500
QUANEX BUILDING PRODUCTS COR COM            747619104            411          27       X        28-11135       27
QUANTA SVCS INC              COM            74762E102         14,261         528       X        28-5284       528
QUANTUM CORP                 COM DSSG       747906204            760         724       X        28-5284       724
                                                                 192         183       X        28-11135      183
QUATERRA RES INC             COM            747952109         42,500      25,000       X        28-5284                        25000
QUEST DIAGNOSTICS INC        COM            74834L100      2,039,725      39,476       X        28-5284     38392               1084
                                                           1,080,161      20,905       X      X 28-5284     18405      300      2200
                                                             805,897      15,597       X        28-11135    15597
                                                               7,751         150       X        28-4580       150
                                                             107,680       2,084       X      X 28-4580      2084
QUEST RESOURCE CORP          COM NEW        748349305            532         200       X      X 28-5284       200
QUESTAR CORP                 COM            748356102      1,919,639      46,912       X        28-5284     31672              15240
                                                           5,279,130     129,011       X      X 28-5284    112050              16961
QUICKSILVER RESOURCES INC    COM            74837R104            864          44       X        28-5284        44
                                                              68,705       3,500       X      X 28-5284      3500
                                                                 432          22       X        28-11135       22
QUIKSILVER INC               COM            74838C106          5,740       1,000       X        28-5284                         1000
QWEST COMMUNICATIONS INTL IN COM            749121109         77,455      23,980       X        28-5284     23745                235
                                                             543,570     168,288       X      X 28-5284     29943             138345
                                                               1,357         420       X        28-4580       420
RAIT FINANCIAL TRUST         COM            749227104          2,745         500       X      X 28-5284       500
                                                               5,490       1,000       X      X 28-4580      1000
   COLUMN TOTAL                                           80,010,207








                                                                                                                    FILE NO. 28-1235
PAGE 174 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
RCN CORP                     COM NEW        749361200        200,095      16,321       X      X 28-5284              16321
RGC RES INC                  COM            74955L103         24,047         850       X      X 28-5284                          850
R H DONNELLEY CORP           COM NEW        74955W307             80          40       X      X 28-5284        40
RLI CORP                     COM            749607107          9,314         150       X        28-5284                          150
                                                               6,209         100       X      X 28-5284                          100
RPM INTL INC                 COM            749685103        758,128      39,200       X        28-5284      4000              35200
                                                             992,432      51,315       X      X 28-5284     20945              30370
                                                              19,340       1,000       X        28-4580      1000
                                                              27,076       1,400       X      X 28-4580      1400
RTI INTL METALS INC          COM            74973W107          6,357         325       X        28-5284       125                200
RF MICRODEVICES INC          COM            749941100          1,986         680       X        28-4580       680
RADIAN GROUP INC             COM            750236101          7,847       1,557       X        28-5284                         1557
RADIANT SYSTEMS INC          COM            75025N102          1,738         200       X        28-5284                          200
RADIOSHACK CORP              COM            750438103         68,619       3,971       X        28-5284       291               3680
                                                              96,768       5,600       X      X 28-5284      5600
RADISYS CORP                 COM            750459109          1,462         170       X        28-5284                          170
RAINIER PAC FINL GROUP INC   COM            75087U101          6,600       1,500       X        28-5284      1500
RALCORP HLDGS INC NEW        COM            751028101         74,286       1,102       X        28-5284      1102
                                                             134,416       1,994       X      X 28-5284      1980                 14
RAMCO-GERSHENSON PPTYS TR    COM SH BEN INT 751452202         33,630       1,500       X        28-5284      1500
RANDGOLD RES LTD             ADR            752344309          4,759         116       X        28-5284       116
RANGE RES CORP               COM            75281A109         35,496         828       X        28-5284       828
                                                              13,847         323       X      X 28-5284       323
                                                                 857          20       X        28-11135       20
                                                              32,153         750       X      X 28-4580                          750
RAVEN INDS INC               COM            754212108         24,200         615       X      X 28-5284       615
   COLUMN TOTAL                                            2,581,742








                                                                                                                    FILE NO. 28-1235
PAGE 175 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
RAYMOND JAMES FINANCIAL INC  COM            754730109          1,550          47       X        28-5284        47
                                                              49,470       1,500       X      X 28-5284      1500
                                                               4,683         142       X        28-11135      142
RAYONIER INC                 COM            754907103        311,894       6,587       X        28-5284      3996               2591
                                                           1,002,589      21,174       X      X 28-5284      9535              11639
RAYTHEON CO                  *W EXP 06/16/2 755111119         85,765       5,045       X        28-5284      5045
                                                               5,984         352       X      X 28-5284                          352
RAYTHEON CO                  COM NEW        755111507      7,352,435     137,403       X        28-5284    130146               7257
                                                          16,671,362     311,556       X      X 28-5284    303305      400      7851
                                                           1,030,763      19,263       X        28-11135    19263
                                                              60,894       1,138       X        28-4580      1138
                                                             238,334       4,454       X      X 28-4580      3404     1050
REALTY INCOME CORP           COM            756109104        124,570       4,866       X        28-5284      4866
                                                             697,856      27,260       X      X 28-5284     26260               1000
RED HAT INC                  COM            756577102            829          55       X        28-5284        55
                                                              16,577       1,100       X      X 28-5284      1100
REDDY ICE HLDGS INC          COM            75734R105          1,018         279       X        28-5284       279
                                                                 442         121       X      X 28-5284       121
REDWOOD TR INC               COM            758075402            826          38       X        28-5284        38
                                                             255,762      11,770       X      X 28-5284      6875               4895
REED ELSEVIER N V            SPONS ADR NEW  758204200         17,850         601       X        28-5284       601
                                                             320,671      10,797       X        28-11135    10797
REED ELSEVIER P L C          SPONS ADR NEW  758205207         19,909         496       X        28-5284       496
                                                             694,944      17,313       X      X 28-5284     17313
RENEGY HOLDINGS INC          COM            75845J109            214         107       X        28-5284       107
REGAL BELOIT CORP            COM            758750103         12,841         302       X        28-5284        32                270
                                                               3,359          79       X        28-11135       79
REGAL ENTMT GROUP            CL A           758766109         46,030       2,917       X        28-5284        97               2820
                                                              28,341       1,796       X      X 28-5284      1796
                                                               9,926         629       X        28-11135      629
   COLUMN TOTAL                                           29,067,688








                                                                                                                    FILE NO. 28-1235
PAGE 176 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
REGENCY CTRS CORP            COM            758849103        967,005      14,500       X        28-5284     14500
                                                              75,693       1,135       X      X 28-5284      1135
REGENERON PHARMACEUTICALS    COM            75886F107         11,133         510       X        28-5284                          510
REGENT COMMUNICATIONS INC DE COM            758865109        315,040     358,000       X      X 28-5284             358000
REGIS CORP MINN              COM            758932107          3,300         120       X        28-5284       120
                                                               2,338          85       X      X 28-5284                           85
REGIONS FINANCIAL CORP NEW   COM            7591EP100      1,046,419     109,002       X        28-5284     57132              51870
                                                             716,266      74,611       X      X 28-5284     59756              14855
                                                           1,793,280     186,800       X        28-1500    186800
REHABCARE GROUP INC          COM            759148109          2,534         140       X        28-5284                          140
                                                                 796          44       X        28-11135       44
REINSURANCE GROUP AMER INC   CL A           759351406         15,876         294       X        28-11135      294
REINSURANCE GROUP AMER INC   CL B           759351505         17,119         361       X        28-5284       361
                                                                 522          11       X      X 28-5284        11
RELIANT ENERGY INC           COM            75952B105         32,480       4,419       X        28-5284      4419
                                                              39,543       5,380       X      X 28-5284      4750                630
                                                               1,683         229       X        28-11135      229
RENESOLA LTD                 SPONS ADS      75971T103         13,637       1,300       X      X 28-5284      1300
RENTECH INC                  COM            760112102          1,330       1,000       X        28-5284      1000
REPSOL YPF S A               SPONSORED ADR  76026T205         19,665         663       X        28-5284       663
                                                                 148           5       X      X 28-5284         5
                                                             126,055       4,250       X        28-11135     4250
REPUBLIC BANCORP KY          CL A           760281204         14,736         486       X        28-5284       486
REPUBLIC FIRST BANCORP INC   COM            760416107         10,332       1,200       X        28-5284      1200
                                                              23,333       2,710       X      X 28-4580      2710
REPUBLIC SVCS INC            COM            760759100         78,638       2,623       X        28-5284      2623
                                                               8,994         300       X      X 28-5284       300
RES-CARE INC                 COM            760943100        983,188      54,200       X        28-5284     54200
   COLUMN TOTAL                                            6,321,083








                                                                                                                    FILE NO. 28-1235
PAGE 177 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
RESEARCH IN MOTION LTD       COM            760975102        191,240       2,800       X        28-5284      2800
                                                             250,524       3,668       X      X 28-5284      3668
                                                             172,731       2,529       X        28-11135     2529
RESMED INC                   COM            761152107        980,400      22,800       X        28-5284     22800
                                                             527,825      12,275       X      X 28-5284      3150               9125
RESOURCE AMERICA INC         CL A           761195205         11,153       1,174       X        28-5284      1174
                                                              28,329       2,982       X      X 28-5284      2982
RETRACTABLE TECHNOLOGIES INC COM            76129W105      1,033,882     743,800       X      X 28-5284             743800
REYNOLDS AMERICAN INC        COM            761713106        547,704      11,265       X        28-5284      8165               3100
                                                             129,621       2,666       X      X 28-5284      2666
RICKS CABARET INTL INC       COM NEW        765641303          1,964         200       X      X 28-5284       200
RIO TINTO PLC                SPONSORED ADR  767204100        131,736         528       X        28-5284       528
                                                           1,457,330       5,841       X      X 28-5284      2262               3579
RITCHIE BROS AUCTIONEERS     COM            767744105          7,989         342       X        28-5284                          342
                                                               7,008         300       X      X 28-5284       300
RITE AID CORP                COM            767754104         11,755      13,994       X        28-5284     12994               1000
                                                               7,896       9,400       X      X 28-5284      8800                600
RIVERBED TECHNOLOGY INC      COM            768573107         10,016         800       X      X 28-5284       800
RIVUS BOND FUND              COM            769667106         33,600       2,400       X      X 28-5284                         2400
ROBBINS & MYERS INC          COM            770196103          8,970         290       X        28-5284                          290
ROBERT HALF INTL INC         COM            770323103         15,939         644       X        28-5284       644
                                                               6,064         245       X      X 28-5284       245
ROCKWELL AUTOMATION INC      COM            773903109        663,457      17,768       X        28-5284     17589                179
                                                             776,821      20,804       X      X 28-5284     20804
                                                               9,335         250       X      X 28-4580       250
ROCKWELL COLLINS INC         COM            774341101      2,848,515      59,233       X        28-5284     55840               3393
                                                           1,883,349      39,163       X      X 28-5284     35338      100      3725
                                                               4,809         100       X        28-4580       100
   COLUMN TOTAL                                           11,759,962








                                                                                                                    FILE NO. 28-1235
PAGE 178 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
ROGERS COMMUNICATIONS INC    CL B           775109200        610,785      18,375       X        28-5284     15525               2850
                                                              23,600         710       X      X 28-5284       710
ROGERS CORP                  COM            775133101          5,547         150       X        28-5284                          150
ROHM & HAAS CO               COM            775371107      3,869,570      55,327       X        28-5284     50727               4600
                                                           6,694,097      95,712       X      X 28-5284     87405               8307
                                                               5,176          74       X        28-11135       74
                                                             377,676       5,400       X      X 28-4580      5400
ROLLINS INC                  COM            775711104         20,498       1,080       X        28-5284      1080
                                                             165,354       8,712       X      X 28-5284      8712
ROPER INDS INC NEW           COM            776696106        672,128      11,800       X        28-5284     11800
                                                           2,367,827      41,570       X      X 28-5284     36370               5200
                                                              21,075         370       X        28-11135      370
                                                             104,123       1,828       X      X 28-4580      1828
ROSS STORES INC              COM            778296103     22,644,076     615,161       X        28-5284    581683              33478
                                                           9,639,508     261,872       X      X 28-5284    250732     4781      6359
                                                             405,793      11,024       X        28-4580     10936                 88
                                                             118,749       3,226       X      X 28-4580      3226
ROWAN COS INC                COM            779382100         30,550       1,000       X        28-5284      1000
                                                               3,055         100       X      X 28-5284       100
                                                                 489          16       X        28-11135       16
ROYAL BANCSHARES PA INC      CL A           780081105          1,326         247       X      X 28-5284       247
ROYAL BK CDA MONTREAL QUE    COM            780087102             96           2       X        28-5284         2
                                                             300,125       6,250       X      X 28-5284      2200               4050
ROYAL BK SCOTLAND GROUP PLC  SP ADR PREF T  780097713        108,900      10,890       X        28-5284     10890
ROYAL BK SCOTLAND GROUP PLC  SP ADR REP SHS 780097721         86,957      27,174       X        28-5284     27174
                                                                  22           7       X      X 28-5284         7
ROYAL BK SCOTLAND GROUP PLC  SP ADR PREF S  780097739         13,840       1,600       X        28-5284      1600
                                                               8,650       1,000       X      X 28-5284      1000
ROYAL BK SCOTLAND GROUP PLC  ADR PREF SHS R 780097747          9,811       1,168       X        28-5284      1168
   COLUMN TOTAL                                           48,309,403








                                                                                                                    FILE NO. 28-1235
PAGE 179 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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 BK SCOTLAND GROUP PLC  ADR PREF SHS Q 780097754         14,080       1,600       X        28-5284      1600
                                                               5,280         600       X      X 28-5284       600
ROYAL BK SCOTLAND GROUP PLC  ADR PFD SER P  780097762         28,083       3,300       X        28-5284      3300
                                                              30,636       3,600       X      X 28-5284      3600
ROYAL BK SCOTLAND GROUP PLC  ADR PREF SER N 780097770         14,475       1,500       X        28-5284      1500
                                                              23,160       2,400       X      X 28-5284      2400
ROYAL BK SCOTLAND GROUP PLC  SPON ADR F     780097804          6,500         500       X        28-5284       500
                                                              16,900       1,300       X      X 28-5284      1300
ROYAL BK SCOTLAND GROUP PLC  SPON ADR SER H 780097879         17,172       1,700       X        28-5284       700               1000
                                                              10,101       1,000       X      X 28-5284      1000
ROYAL DUTCH SHELL PLC        SPON ADR B     780259107        317,877       5,568       X        28-5284      5051                517
                                                           2,103,652      36,848       X      X 28-5284     36748                100
                                                               1,142          20       X        28-11135       20
                                                              99,965       1,751       X        28-4580      1751
ROYAL DUTCH SHELL PLC        SPONS ADR A    780259206     25,559,296     433,135       X        28-5284    420552              12583
                                                          33,889,797     574,306       X      X 28-5284    548128      500     25678
                                                             130,412       2,210       X        28-11135     2210
                                                             625,683      10,603       X        28-4580     10203                400
                                                             472,257       8,003       X      X 28-4580      8003
ROYAL GOLD INC               COM            780287108         27,725         771       X        28-5284       771
ROYCE VALUE TR INC           COM            780910105        113,287       8,505       X        28-5284      6229               2276
RUBY TUESDAY INC             COM            781182100         31,712       5,477       X      X 28-5284      5477
RUDDICK CORP                 COM            781258108          9,703         299       X        28-11135      299
RUDOLPH TECHNOLOGIES INC     COM            781270103          1,927         230       X        28-5284                          230
RURBAN FINL CORP             COM            78176P108        611,073      67,897       X        28-1500     67897
RUSS BERRIE & CO             COM            782233100            997         130       X        28-5284                          130
RYANAIR HLDGS PLC            SPONSORED ADR  783513104          4,464         199       X        28-5284       199
                                                              33,645       1,500       X      X 28-5284                         1500
   COLUMN TOTAL                                           64,201,001








                                                                                                                    FILE NO. 28-1235
PAGE 180 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
RYDER SYS INC                COM            783549108         94,240       1,520       X        28-5284      1520
                                                               8,122         131       X      X 28-5284       131
RYDEX ETF TRUST              S&P 500 EQ TRD 78355W106          3,793         100       X        28-5284       100
RYLAND GROUP INC             COM            783764103         76,165       2,872       X        28-5284        25               2847
                                                               5,304         200       X      X 28-5284       200
S & T BANCORP INC            COM            783859101        184,629       5,013       X        28-5284      5013
                                                              20,257         550       X      X 28-5284       150                400
SBA COMMUNICATIONS CORP      COM            78388J106          7,244         280       X        28-5284                          280
                                                                 828          32       X        28-11135       32
SAIC INC                     COM            78390X101         17,438         862       X        28-5284       862
                                                              93,058       4,600       X      X 28-5284       100               4500
SEI INVESTMENTS CO           COM            784117103        512,021      23,064       X        28-5284     23064
                                                             226,440      10,200       X      X 28-5284     10200
SJW CORP                     COM            784305104         41,958       1,400       X      X 28-5284      1400
SK TELECOM LTD               SPONSORED ADR  78440P108          1,412          75       X        28-5284        75
SL GREEN RLTY CORP           COM            78440X101        902,470      13,927       X        28-5284     13927
                                                             106,531       1,644       X      X 28-5284      1644
                                                               1,944          30       X        28-11135       30
SLM CORP                     COM            78442P106        687,042      55,676       X        28-5284     13446              42230
                                                             276,231      22,385       X      X 28-5284      1985              20400
SPDR TR                      UNIT SER 1     78462F103    395,451,898   3,409,362       X        28-5284   3366238      780     42344
                                                         141,031,661   1,215,895       X      X 28-5284   1141220      324     74351
                                                           1,010,621       8,713       X        28-11135     8713
                                                          10,068,164      86,802       X        28-4580     85902                900
                                                           1,606,462      13,850       X      X 28-4580     13850
SPSS INC                     COM            78462K102          4,404         150       X        28-5284                          150
                                                              50,382       1,716       X        28-11135     1716
S1 CORPORATION               COM            78463B101          1,983         324       X        28-11135      324
   COLUMN TOTAL                                          552,492,702








                                                                                                                    FILE NO. 28-1235
PAGE 181 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
SPDR GOLD TRUST              GOLD SHS       78463V107      4,008,073      47,115       X        28-5284     42165               4950
                                                             605,783       7,121       X      X 28-5284      5840               1281
                                                             745,809       8,767       X        28-4580      8767
                                                             849,849       9,990       X      X 28-4580      9990
SPDR INDEX SHS FDS           EMERG MKTS ETF 78463X509         15,468         300       X      X 28-5284       300
SPDR INDEX SHS FDS           MIDEAST AFRICA 78463X806         16,428         300       X        28-5284       300
SPDR INDEX SHS FDS           MSCI ACWI EXUS 78463X848      2,803,691      93,926       X        28-5284     93926
SPDR INDEX SHS FDS           DJWS INTL REAL 78463X863         44,384       1,163       X        28-5284      1163
                                                             126,816       3,323       X      X 28-5284      2413                910
SPX CORP                     COM            784635104     18,637,773     242,049       X        28-5284    228597              13452
                                                           8,378,216     108,808       X      X 28-5284    103566     1279      3963
                                                             242,088       3,144       X        28-4580      3144
                                                              62,293         809       X      X 28-4580       809
SPDR SERIES TRUST            MORGAN TECH ET 78464A102      2,895,255      62,519       X        28-5284     61650                869
                                                             390,717       8,437       X      X 28-5284      8237      200
                                                              93,129       2,011       X        28-4580      2011
                                                               8,660         187       X      X 28-4580       187
SPDR SERIES TRUST            DJWS SMCAP VL  78464A300         36,774         641       X      X 28-5284       641
SPDR SERIES TRUST            LEHMN INTL ETF 78464A516         40,889         788       X        28-5284       788
                                                           1,647,248      31,745       X      X 28-5284     31745
SPDR SERIES TRUST            DJ WLSH REIT E 78464A607      2,093,589      30,984       X        28-5284     30684                300
                                                             775,231      11,473       X      X 28-5284      9043               2430
                                                             672,794       9,957       X        28-11135     9957
SPDR SERIES TRUST            KBW REGN BK ET 78464A698      1,118,073      31,495       X        28-5284     31495
SPDR SERIES TRUST            S&P OILGAS EXP 78464A730         58,817       1,312       X      X 28-5284                         1312
SPDR SERIES TRUST            S&P METALS MNG 78464A755          9,394         200       X        28-5284       200
SPDR SERIES TRUST            SPDR KBW BK ET 78464A797         38,438       1,144       X        28-5284      1144
SPDR SERIES TRUST            S&P BIOTECH    78464A870         11,425         190       X        28-5284       190
                                                              24,052         400       X      X 28-5284                          400
   COLUMN TOTAL                                           46,451,156








                                                                                                                    FILE NO. 28-1235
PAGE 182 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
SPDR SERIES TRUST            S&P HOMEBUILD  78464A888         19,670       1,000       X      X 28-5284      1000
SRA INTL INC                 CL A           78464R105        659,665      29,150       X      X 28-5284      5500              23650
SWS GROUP INC                COM            78503N107          3,830         190       X        28-5284                          190
S Y BANCORP INC              COM            785060104        147,680       4,823       X        28-5284      4823
                                                              39,041       1,275       X      X 28-5284      1275
SABINE ROYALTY TR            UNIT BEN INT   785688102         11,184         200       X      X 28-5284       200
SAFEGUARD SCIENTIFICS INC    COM            786449108          6,778       5,422       X        28-5284      5422
                                                             455,125     364,100       X      X 28-5284    364100
                                                              37,500      30,000       X        28-4580                        30000
SAFETY INS GROUP INC         COM            78648T100         11,379         300       X      X 28-5284       300
SAFEWAY INC                  COM NEW        786514208        344,320      14,516       X        28-5284      6616               7900
                                                              54,936       2,316       X      X 28-5284      2316
                                                             663,021      27,952       X        28-11135    27952
SAGA COMMUNICATIONS          CL A           786598102            359          63       X        28-11135       63
SAIA INC                     COM            78709Y105            996          75       X      X 28-5284        75
ST JOE CO                    COM            790148100         21,773         557       X        28-5284       557
                                                             551,169      14,100       X      X 28-5284      5100               9000
ST JUDE MED INC              COM            790849103     13,583,667     312,340       X        28-5284    296021              16319
                                                           3,681,472      84,651       X      X 28-5284     78783     2597      3271
                                                             312,780       7,192       X        28-11135     7192
                                                              55,928       1,286       X        28-4580      1286
                                                              42,403         975       X      X 28-4580       975
ST MARY LD & EXPL CO         COM            792228108         42,780       1,200       X        28-5284       700                500
                                                             522,273      14,650       X      X 28-5284      9875               4775
                                                              39,857       1,118       X        28-11135     1118
SAKS INC                     COM            79377W108          1,850         200       X        28-5284       200
                                                               4,625         500       X      X 28-5284                          500
SALESFORCE COM INC           COM            79466L302      1,165,230      24,075       X        28-5284     21550               2525
                                                              56,870       1,175       X      X 28-5284       975                200
   COLUMN TOTAL                                           22,538,161








                                                                                                                    FILE NO. 28-1235
PAGE 183 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
SALLY BEAUTY HLDGS INC       COM            79546E104        264,553      30,762       X        28-11135    30762
SAN JUAN BASIN RTY TR        UNIT BEN INT   798241105         83,780       2,203       X        28-5284      2203
                                                             325,575       8,561       X      X 28-5284      8561
SANDISK CORP                 COM            80004C101      1,827,690      93,488       X        28-5284     82841              10647
                                                             133,996       6,854       X      X 28-5284      6854
SANDY SPRING BANCORP INC     COM            800363103         25,282       1,144       X        28-5284      1144
                                                              90,610       4,100       X      X 28-5284      3800                300
SANGAMO BIOSCIENCES INC      COM            800677106            770         100       X        28-5284       100
                                                              79,926      10,380       X      X 28-5284     10380
SANMINA SCI CORP             COM            800907107         23,710      16,936       X        28-5284      1036              15900
SANOFI AVENTIS               SPONSORED ADR  80105N105        137,068       4,170       X        28-5284      4170
                                                             187,490       5,704       X      X 28-5284      3069               2635
                                                             417,515      12,702       X        28-11135    12702
SANTOS LIMITED               SPONSORED ADR  803021609         20,169         310       X        28-5284       310
SAP AKTIENGESELLSCHAFT       SPONSORED ADR  803054204        339,067       6,346       X        28-5284      6346
                                                             740,807      13,865       X      X 28-5284      2333     1600      9932
SARA LEE CORP                COM            803111103      3,605,726     285,489       X        28-5284    269448              16041
                                                           3,409,431     269,947       X      X 28-5284    263048               6899
                                                              15,788       1,250       X        28-4580      1250
                                                               6,959         551       X      X 28-4580       551
SASOL LTD                    SPONSORED ADR  803866300         75,717       1,782       X        28-5284      1782
                                                              43,255       1,018       X      X 28-5284      1018
                                                              18,611         438       X        28-11135      438
                                                               4,249         100       X      X 28-4580       100
SATCON TECHNOLOGY CORP       COM            803893106            537         300       X      X 28-4580       300
SATYAM COMPUTER SERVICES LTD ADR            804098101        318,317      19,710       X        28-5284     19710
                                                             192,185      11,900       X      X 28-5284     11900
                                                                 291          18       X        28-11135       18
SAUL CTRS INC                COM            804395101        221,113       4,375       X        28-5284      4375
                                                              55,594       1,100       X      X 28-5284      1100
   COLUMN TOTAL                                           12,665,781








                                                                                                                    FILE NO. 28-1235
PAGE 184 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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        178,572       4,587       X        28-5284      4587
                                                             304,549       7,823       X      X 28-5284      7823
                                                              11,523         296       X        28-11135      296
                                                              77,860       2,000       X        28-4580      2000
SCHEIN HENRY INC             COM            806407102        221,444       4,113       X        28-5284      4113
                                                              37,688         700       X      X 28-5284       700
                                                                 108           2       X        28-11135        2
                                                              36,611         680       X      X 28-4580       680
SCHERING PLOUGH CORP         COM            806605101      9,671,612     523,639       X        28-5284    487999              35640
                                                          10,837,106     586,741       X      X 28-5284    535345              51396
                                                             980,074      53,063       X        28-11135    53063
                                                              44,328       2,400       X        28-4580      2400
                                                             134,831       7,300       X      X 28-4580      7300
SCHERING PLOUGH CORP         PFD CONV MAN07 806605705         61,629         360       X      X 28-5284       360
SCHLUMBERGER LTD             COM            806857108     92,493,076   1,184,442       X        28-5284   1113145              71297
                                                          84,313,226   1,079,693       X      X 28-5284    942440     3508    133745
                                                             721,942       9,245       X        28-11135     9245
                                                           2,174,572      27,847       X        28-4580     27287                560
                                                             640,338       8,200       X      X 28-4580      7918      282
SCHNITZER STL INDS           CL A           806882106          3,924         100       X      X 28-5284       100
SCHOOL SPECIALTY INC         COM            807863105          4,679         150       X        28-5284                          150
                                                                 593          19       X        28-11135       19
SCHWAB CHARLES CORP NEW      COM            808513105      3,193,008     122,808       X        28-5284    113856               8952
                                                           1,015,092      39,042       X      X 28-5284     29640               9402
                                                               1,404          54       X        28-11135       54
                                                              13,026         501       X        28-4580       501
SCHWEITZER-MAUDUIT INTL INC  COM            808541106         23,738       1,250       X        28-5284      1250
SCIENTIFIC GAMES CORP        CL A           80874P109         11,510         500       X        28-5284       500
                                                                 345          15       X        28-11135       15
SCOTTS MIRACLE GRO CO        CL A           810186106         49,644       2,100       X      X 28-5284      2100
   COLUMN TOTAL                                          207,258,052








                                                                                                                    FILE NO. 28-1235
PAGE 185 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
SCRIPPS E W CO OHIO          CL A NEW       811054402         48,705       6,889       X        28-5284       983               5906
                                                             104,912      14,839       X      X 28-5284     12435               2404
                                                                  92          13       X        28-11135       13
SCRIPPS NETWORKS INTERACT IN CL A COM       811065101        537,933      14,815       X        28-5284      2615              12200
                                                           1,598,148      44,014       X      X 28-5284     37310               6704
                                                             204,752       5,639       X        28-11135     5639
SEABRIGHT INSURANCE HLDGS IN COM            811656107          1,287          99       X        28-5284        99
SEACOAST BKG CORP FLA        COM            811707306          9,314         868       X        28-5284       868
                                                             120,573      11,237       X      X 28-5284      2657               8580
SEACOR HOLDINGS INC          COM            811904101         12,632         160       X        28-5284                          160
SEALED AIR CORP NEW          COM            81211K100      1,212,836      55,154       X        28-5284     49304               5850
                                                             431,730      19,633       X      X 28-5284     17843               1790
                                                               6,597         300       X        28-4580       300
SEARS HLDGS CORP             COM            812350106        193,545       2,070       X        28-5284      1699                371
                                                             199,436       2,133       X      X 28-5284      2056                 77
                                                               1,029          11       X        28-11135       11
                                                               8,789          94       X        28-4580        94
SEATTLE GENETICS INC         COM            812578102         21,400       2,000       X      X 28-5284      2000
SELECT SECTOR SPDR TR        SBI MATERIALS  81369Y100        111,790       3,347       X        28-5284      3347
                                                              14,763         442       X      X 28-5284       442
SELECT SECTOR SPDR TR        SBI HEALTHCARE 81369Y209        124,557       4,145       X        28-5284      4145
                                                             659,898      21,960       X      X 28-5284     21960
                                                               3,005         100       X      X 28-4580       100
SELECT SECTOR SPDR TR        SBI CONS STPLS 81369Y308         84,401       3,058       X        28-5284      3058
                                                               3,036         110       X      X 28-5284       110
                                                             178,241       6,458       X      X 28-4580      6458
SELECT SECTOR SPDR TR        SBI CONS DISCR 81369Y407        104,792       3,756       X        28-5284      3756
                                                             299,200      10,724       X      X 28-5284     10724
   COLUMN TOTAL                                            6,297,393








                                                                                                                    FILE NO. 28-1235
PAGE 186 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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-ENERGY 81369Y506     12,603,283     199,104       X        28-5284    198929                175
                                                           3,651,081      57,679       X      X 28-5284     48357               9322
                                                             201,357       3,181       X        28-4580      3181
                                                              12,660         200       X      X 28-4580       200
SELECT SECTOR SPDR TR        SBI INT-FINL   81369Y605      4,477,776     225,127       X        28-5284    213891              11236
                                                           2,659,333     133,702       X      X 28-5284    129431               4271
                                                             247,332      12,435       X        28-4580     12435
                                                             218,889      11,005       X      X 28-4580     11005
SELECT SECTOR SPDR TR        SBI INT-INDS   81369Y704        120,028       3,897       X        28-5284      3897
                                                             287,641       9,339       X      X 28-5284      9339
                                                              20,020         650       X      X 28-4580       650
SELECT SECTOR SPDR TR        SBI INT-TECH   81369Y803      8,398,178     423,082       X        28-5284    423082
                                                           7,282,985     366,901       X      X 28-5284    364913               1988
                                                             192,545       9,700       X        28-4580      9700
                                                             233,059      11,741       X      X 28-4580     11741
SELECT SECTOR SPDR TR        SBI INT-UTILS  81369Y886      1,946,680      58,582       X        28-5284     54982               3600
                                                           2,908,024      87,512       X      X 28-5284     77012              10500
                                                              49,845       1,500       X      X 28-4580      1500
SECURE COMPUTING CORP        COM            813705100          4,932         900       X        28-5284       900
SELECTICA INC                COM            816288104      2,080,835   2,060,233       X      X 28-5284            2060233
SELECTIVE INS GROUP INC      COM            816300107        378,868      16,530       X        28-5284     16100                430
                                                             261,288      11,400       X      X 28-5284     11400
SEMTECH CORP                 COM            816850101         15,216       1,090       X        28-5284      1090
                                                              76,082       5,450       X      X 28-5284      5450
                                                             184,621      13,225       X        28-11135    13225
SEMPRA ENERGY                COM            816851109        219,242       4,344       X        28-5284      4094                250
                                                           1,779,219      35,253       X      X 28-5284     33939               1314
                                                             119,917       2,376       X        28-11135     2376
                                                              75,705       1,500       X        28-4580                         1500
                                                              12,668         251       X      X 28-4580       251
SEMITOOL INC                 COM            816909105          2,454         300       X      X 28-5284       300
   COLUMN TOTAL                                           50,721,763








                                                                                                                    FILE NO. 28-1235
PAGE 187 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
SENIOR HSG PPTYS TR          SH BEN INT     81721M109         30,264       1,270       X        28-5284      1270
                                                             544,039      22,830       X      X 28-5284     22530                300
SENSIENT TECHNOLOGIES CORP   COM            81725T100         14,065         500       X      X 28-5284                          500
                                                              53,025       1,885       X        28-11135     1885
SEPRACOR INC                 COM            817315104         10,986         600       X        28-5284       600
SERVICE CORP INTL            COM            817565104            878         105       X        28-5284       105
                                                               7,424         888       X      X 28-5284       888
                                                              11,579       1,385       X        28-11135     1385
SHANDA INTERACTIVE ENTMT LTD SPONSORED ADR  81941Q203      1,378,167      53,940       X      X 28-5284     53940
SHAW GROUP INC               COM            820280105        111,243       3,620       X        28-5284      3500                120
                                                              98,336       3,200       X      X 28-5284      3200
SHERWIN WILLIAMS CO          COM            824348106        224,353       3,925       X        28-5284      3925
                                                           2,843,710      49,750       X      X 28-5284     49750
                                                               1,543          27       X        28-11135       27
                                                              97,172       1,700       X        28-4580      1700
                                                              57,160       1,000       X      X 28-4580      1000
SHIRE LIMITED                SPONSORED ADR  82481R106         59,258       1,241       X        28-5284      1241
                                                              22,681         475       X      X 28-5284       200                275
                                                              30,703         643       X        28-11135      643
SHORE BANCSHARES INC         COM            825107105      3,340,794     129,992       X      X 28-5284    129992
SHUTTERFLY INC               COM            82568P304         19,220       2,000       X      X 28-5284      2000
SIEMENS A G                  SPONSORED ADR  826197501        527,286       5,616       X        28-5284      4766                850
                                                              98,585       1,050       X      X 28-5284       650                400
                                                               2,159          23       X        28-11135       23
SIERRA BANCORP               COM            82620P102          4,172         200       X      X 28-5284       200
SIERRA PAC RES NEW           COM            826428104         45,639       4,764       X        28-5284      4764
SIERRA WIRELESS INC          COM            826516106          9,970       1,000       X      X 28-5284      1000
                                                                 489          49       X        28-11135       49
   COLUMN TOTAL                                            9,644,900








                                                                                                                    FILE NO. 28-1235
PAGE 188 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
SIGMA ALDRICH CORP           COM            826552101        650,847      12,416       X        28-5284     12416
                                                           1,854,358      35,375       X      X 28-5284     17025              18350
                                                              26,210         500       X      X 28-4580       500
SILICON LABORATORIES INC     COM            826919102         42,059       1,370       X        28-5284      1070                300
SILGAN HOLDINGS INC          COM            827048109         23,399         458       X        28-11135      458
SILICON IMAGE INC            COM            82705T102            865         162       X        28-5284       162
SILICON STORAGE TECHNOLOGY I COM            827057100      7,035,732   2,158,200       X      X 28-5284            2158200
SILICONWARE PRECISION INDS L SPONSD ADR SPL 827084864             69          12       X      X 28-5284        12
SILVER STD RES INC           COM            82823L106         10,827         655       X      X 28-5284       655
SILVER WHEATON CORP          COM            828336107         23,228       2,850       X        28-5284      2850
SIMON PPTY GROUP INC NEW     COM            828806109      5,471,285      56,405       X        28-5284     49055               7350
                                                           2,256,123      23,259       X      X 28-5284     22079               1180
                                                              53,350         550       X        28-4580       550
                                                             169,750       1,750       X      X 28-4580      1750
SIMON PPTY GROUP INC NEW     PFD CONV I 6%  828806802     23,278,425     299,160       X        28-11439   299160
SIMPSON MANUFACTURING CO INC COM            829073105         20,453         755       X        28-5284       445                310
SIMS GROUP LTD               SPONS ADR      829160100         20,836         902       X        28-5284       902
SINCLAIR BROADCAST GROUP INC CL A           829226109         12,600       2,500       X        28-5284      2500
                                                               2,016         400       X      X 28-5284       300                100
SINOPEC SHANGHAI PETROCHEMIC SPON ADR H     82935M109            955          43       X        28-5284        43
                                                              11,110         500       X      X 28-5284       500
SIRIUS SATELLITE RADIO INC   NOTE  3.250%10 82966UAD5      3,706,957       6,500       X        28-11439     6500
SIRF TECHNOLOGY HLDGS INC    COM            82967H101            894         600       X      X 28-5284       600
SIRIUS XM RADIO INC          COM            82967N108      1,589,836   2,789,186       X        28-5284   2789186
                                                              20,640      36,210       X      X 28-5284     21410     4600     10200
                                                              12,939      22,700       X        28-11439    22700
                                                                  10          18       X        28-4580        18
   COLUMN TOTAL                                           46,295,773








                                                                                                                    FILE NO. 28-1235
PAGE 189 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
SIX FLAGS INC                COM            83001P109          6,210       9,000       X        28-5284      9000
SKYLINE CORP                 COM            830830105          1,850          70       X        28-5284                           70
SKYWEST INC                  COM            830879102          7,670         480       X        28-5284                          480
SKYWORKS SOLUTIONS INC       COM            83088M102          2,926         350       X      X 28-5284       280                 70
SKILLSOFT PLC                SPONSORED ADR  830928107         10,680       1,021       X        28-5284      1021
SMART BALANCE INC            COM            83169Y108         17,712       2,700       X      X 28-5284      2500                200
SMITH & NEPHEW PLC           SPDN ADR NEW   83175M205         10,459         197       X        28-5284       197
                                                              84,944       1,600       X      X 28-5284      1600
                                                               4,937          93       X        28-11135       93
SMITH & WESSON HLDG CORP     COM            831756101            748         200       X        28-5284       200
SMITH A O                    COM            831865209          7,838         200       X        28-5284                          200
                                                              23,514         600       X      X 28-5284                          600
SMITH INTL INC               COM            832110100      9,514,340     162,250       X        28-5284    160284               1966
                                                           7,040,729     120,067       X      X 28-5284    112192     3150      4725
                                                              90,892       1,550       X        28-4580      1550
                                                              76,349       1,302       X      X 28-4580      1302
SMITHFIELD FOODS INC         COM            832248108          6,844         431       X        28-5284       431
                                                                  32           2       X      X 28-5284         2
SMUCKER J M CO               COM NEW        832696405      2,535,311      50,016       X        28-5284     44719               5297
                                                           2,169,633      42,802       X      X 28-5284     36739       12      6051
                                                             103,661       2,045       X      X 28-4580      2045
SNAP ON INC                  COM            833034101         93,998       1,785       X        28-5284      1780                  5
                                                              29,121         553       X      X 28-5284       553
                                                              18,800         357       X        28-11135      357
SOAPSTONE NETWORKS INC       COM            833570104        268,000      80,000       X      X 28-5284              80000
SOLARFUN POWER HOLDINGS CO L SPONSORED ADR  83415U108         10,530       1,000       X      X 28-5284      1000
SONIC INNOVATIONS INC        COM            83545M109          2,540       1,000       X        28-5284      1000
   COLUMN TOTAL                                           22,140,268








                                                                                                                    FILE NO. 28-1235
PAGE 190 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
SONIC CORP                   COM            835451105        641,590      44,035       X        28-5284     36890               7145
                                                              34,793       2,388       X      X 28-5284      2388
                                                                 699          48       X        28-11135       48
SONOCO PRODS CO              COM            835495102      2,041,925      68,798       X        28-5284     58198              10600
                                                             520,973      17,553       X      X 28-5284     16953                600
SONOSITE INC                 COM            83568G104          1,444          46       X      X 28-5284        46
SONY CORP                    ADR NEW        835699307        250,788       8,124       X        28-5284      7974                150
                                                             438,354      14,200       X      X 28-5284     12550               1650
                                                              15,373         498       X        28-11135      498
SOTHEBYS                     COM            835898107         36,108       1,800       X        28-5284      1800
                                                               2,006         100       X      X 28-5284       100
                                                             159,176       7,935       X        28-11135     7935
SONUS NETWORKS INC           COM            835916107            829         288       X        28-5284       288
                                                              72,000      25,000       X      X 28-5284     25000
SOURCE CAP INC               COM            836144105         27,681         583       X        28-5284       583
SOUTH FINL GROUP INC         COM            837841105          3,885         530       X        28-5284                          530
                                                                 323          44       X        28-11135       44
SOUTH JERSEY INDS INC        COM            838518108      1,773,005      49,664       X        28-5284     49664
                                                           1,085,280      30,400       X      X 28-5284       400              30000
SOUTHCOAST FINANCIAL CORP    COM            84129R100         78,540      11,000       X      X 28-5284     11000
SOUTHERN CO                  COM            842587107     23,885,623     633,739       X        28-5284    586654              47085
                                                          15,723,477     417,179       X      X 28-5284    345871     4865     66443
                                                              85,933       2,280       X        28-11135     2280
                                                             358,319       9,507       X        28-4580      9507
                                                             202,584       5,375       X      X 28-4580      1875               3500
SOUTHERN COPPER CORP         COM            84265V105        145,027       7,601       X        28-5284      2001               5600
                                                             384,462      20,150       X      X 28-5284     20150
SOUTHERN NATL BANCORP OF VA  COM            843395104        101,351      12,285       X        28-5284     12285
SOUTHERN UN CO NEW           COM            844030106        401,333      19,435       X        28-5284     18224               1211
                                                             101,350       4,908       X      X 28-5284      1708               3200
   COLUMN TOTAL                                           48,574,231








                                                                                                                    FILE NO. 28-1235
PAGE 191 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
SOUTHWEST AIRLS CO           COM            844741108        136,496       9,407       X        28-5284      8542                865
                                                             696,219      47,982       X      X 28-5284     44432               3550
                                                              27,787       1,915       X      X 28-4580      1915
SOUTHWEST BANCORP INC OKLA   COM            844767103        209,443      11,853       X        28-11135    11853
SOUTHWEST GAS CORP           COM            844895102        109,753       3,627       X        28-5284      3277                350
                                                             127,092       4,200       X      X 28-5284       200               4000
SOUTHWEST WTR CO             COM            845331107         98,379       7,716       X      X 28-5284      7506                210
SOUTHWESTERN ENERGY CO       COM            845467109         92,597       3,032       X        28-5284      2012               1020
                                                           1,158,688      37,940       X      X 28-5284     37940
                                                               2,443          80       X        28-11135       80
                                                             732,960      24,000       X      X 28-4580     24000
SOVEREIGN BANCORP INC        COM            845905108        283,831      71,856       X        28-5284     70191               1665
                                                              24,988       6,326       X      X 28-5284      6326
SOVRAN SELF STORAGE INC      COM            84610H108         40,891         915       X        28-5284       915
SPACEHAB INC                 COM NEW        846243400         37,975     105,487       X      X 28-5284             105487
SPARTAN STORES INC           COM            846822104         53,218       2,139       X        28-11135     2139
SPARTECH CORP                COM NEW        847220209          1,366         138       X        28-5284       138
SPECTRA ENERGY CORP          COM            847560109      2,681,784     112,680       X        28-5284    110070               2610
                                                           3,208,192     134,798       X      X 28-5284    109248              25550
                                                               1,452          61       X        28-11135       61
                                                              31,249       1,313       X        28-4580      1313
                                                              58,738       2,468       X      X 28-4580      2468
SPECTRUM CTL INC             COM            847615101          7,160       1,000       X        28-5284      1000
SPECTRUM PHARMACEUTICALS INC COM            84763A108         56,400      40,000       X      X 28-5284              40000
SPHERIX INC                  COM            84842R106         82,140     111,000       X        28-5284    111000
SPHERION CORP                COM            848420105          1,753         360       X        28-5284                          360
SPIRE CORP                   COM            848565107         50,076       3,524       X        28-5284      3524
   COLUMN TOTAL                                           10,013,070








                                                                                                                    FILE NO. 28-1235
PAGE 192 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
SPIRIT AEROSYSTEMS HLDGS INC COM CL A       848574109            723          45       X        28-5284        45
                                                             803,500      50,000       X      X 28-5284     50000
SPRINT NEXTEL CORP           COM SER 1      852061100      1,501,289     246,113       X        28-5284    209391              36722
                                                           1,113,647     182,565       X      X 28-5284    164603     4026     13936
                                                               7,698       1,262       X        28-11135     1262
STAAR SURGICAL CO            COM PAR $0.01  852312305         23,146       5,155       X        28-5284      5155
STAMPS COM INC               COM NEW        852857200      4,443,738     380,783       X      X 28-5284             380783
STANCORP FINL GROUP INC      COM            852891100        130,156       2,503       X        28-5284                         2503
                                                               6,344         122       X        28-11135      122
STANDARD MICROSYSTEMS CORP   COM            853626109          4,996         200       X        28-5284                          200
                                                              26,928       1,078       X      X 28-5284      1078
                                                                 724          29       X        28-11135       29
STANDARD MTR PRODS INC       COM            853666105            560          90       X        28-5284                           90
STANDARD PAC CORP NEW        COM            85375C101          2,111         430       X        28-5284                          430
STANDARD REGISTER CO         COM            853887107            887          90       X        28-5284                           90
STANDEX INTL CORP            COM            854231107          3,053         110       X        28-5284                          110
STANLEY WKS                  COM            854616109        212,081       5,081       X        28-5284      5081
                                                             528,011      12,650       X      X 28-5284     12500                150
STAPLES INC                  COM            855030102      1,312,200      58,320       X        28-5284     56396               1924
                                                           3,304,665     146,874       X      X 28-5284    143424      450      3000
                                                             688,883      30,617       X        28-11135    30617
STARBUCKS CORP               COM            855244109      4,254,054     286,083       X        28-5284    253459              32624
                                                             694,355      46,695       X      X 28-5284     21560              25135
                                                              12,669         852       X      X 28-4580                          852
STARTEK INC                  COM            85569C107            449          70       X        28-5284                           70
STARWOOD HOTELS&RESORTS WRLD COM            85590A401        585,256      20,798       X        28-5284     13798               7000
                                                             152,688       5,426       X      X 28-5284      1448               3978
                                                              48,345       1,718       X        28-11135     1718
   COLUMN TOTAL                                           19,863,156








                                                                                                                    FILE NO. 28-1235
PAGE 193 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
STATE STR CORP               COM            857477103     30,086,448     528,946       X        28-5284    490690              38256
                                                          13,838,790     243,298       X      X 28-5284    220086     3528     19684
                                                             371,426       6,530       X        28-11135     6530
                                                             466,245       8,197       X        28-4580      8017                180
                                                             414,769       7,292       X      X 28-4580      7292
STATOILHYDRO ASA             SPONSORED ADR  85771P102         82,229       3,455       X        28-5284      3455
                                                             122,070       5,129       X      X 28-5284      5129
                                                             330,249      13,876       X        28-11135    13876
                                                               8,497         357       X      X 28-4580       357
STEAK N SHAKE CO             COM            857873103          1,562         180       X        28-5284                          180
                                                               4,340         500       X      X 28-5284       500
                                                              86,531       9,969       X        28-11135     9969
STEEL DYNAMICS INC           COM            858119100         18,628       1,090       X        28-5284      1090
                                                             190,041      11,120       X      X 28-5284     11120
                                                                 171          10       X        28-11135       10
STEELCASE INC                CL A           858155203          7,310         680       X        28-5284                          680
STEIN MART INC               COM            858375108            626         160       X        28-5284                          160
STELLARONE CORP              COM            85856G100         55,995       2,709       X        28-5284      2709
                                                              16,019         775       X      X 28-5284                          775
STERLING BANCSHARES INC      COM            858907108          5,539         530       X        28-5284                          530
STERICYCLE INC               COM            858912108        515,168       8,745       X        28-5284      8745
STERIS CORP                  COM            859152100         45,096       1,200       X      X 28-5284      1200
                                                             180,159       4,794       X        28-11135     4794
STEREOTAXIS INC              COM            85916J102          1,210         200       X        28-5284       200
STERLING CONSTRUCTION CO INC COM            859241101         43,643       2,694       X        28-11135     2694
STEWART INFORMATION SVCS COR COM            860372101          4,760         160       X        28-5284                          160
STMICROELECTRONICS N V       NY REGISTRY    861012102      2,716,024     266,800       X        28-5284    239610              27190
                                                             163,389      16,050       X      X 28-5284     16050
STONE ENERGY CORP            COM            861642106         75,517       1,784       X        28-5284                         1784
   COLUMN TOTAL                                           49,852,451








                                                                                                                    FILE NO. 28-1235
PAGE 194 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
STONEMOR PARTNERS L P        COM UNITS      86183Q100         14,450       1,000       X        28-5284      1000
STRATASYS INC                COM            862685104         34,940       2,000       X        28-5284      2000
                                                             122,290       7,000       X      X 28-5284      7000
STRATEGIC DIAGNOSTICS INC    COM            862700101            551         340       X      X 28-5284       340
STRATEGIC HOTELS & RESORTS I COM            86272T106         73,650       9,755       X        28-5284      9755
                                                               4,379         580       X      X 28-5284       580
STRATTEC SEC CORP            COM            863111100        112,021       4,240       X      X 28-5284      4240
STRATUS PPTYS INC            COM NEW        863167201          8,256         300       X        28-5284       300
STRYKER CORP                 COM            863667101     21,185,551     340,057       X        28-5284    336674               3383
                                                          24,546,698     394,008       X      X 28-5284    374885     1305     17818
                                                             197,180       3,165       X        28-11135     3165
                                                             237,550       3,813       X        28-4580      3813
                                                             260,040       4,174       X      X 28-4580      3850                324
STUDENT LN CORP              COM            863902102         43,152         464       X        28-5284        44                420
STURM RUGER & CO INC         COM            864159108          3,817         550       X        28-5284       400                150
SUBURBAN PROPANE PARTNERS L  UNIT LTD PARTN 864482104         13,432         400       X        28-5284       400
                                                              70,518       2,100       X      X 28-5284      2100
SUMMIT FINANCIAL GROUP INC   COM            86606G101        292,575      24,900       X        28-1500     24900
SUN COMMUNITIES INC          COM            866674104          9,905         500       X        28-5284       500
                                                               9,905         500       X      X 28-5284       500
SUN LIFE FINL INC            COM            866796105        369,227      10,439       X        28-5284     10439
                                                             187,426       5,299       X      X 28-5284      3996     1303
SUN MICROSYSTEMS INC         COM NEW        866810203        126,456      16,639       X        28-5284     16289                350
                                                              98,526      12,964       X      X 28-5284      5346     4000      3618
SUN HYDRAULICS CORP          COM            866942105        300,580      11,543       X        28-11135    11543
SUNCOR ENERGY INC            COM            867229106        627,760      14,897       X        28-5284     12980               1917
                                                           1,267,908      30,088       X      X 28-5284     30088
   COLUMN TOTAL                                           50,218,743








                                                                                                                    FILE NO. 28-1235
PAGE 195 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
SUNOCO LOGISTICS PRTNRS L P  COM UNITS      86764L108         49,781       1,125       X        28-5284      1125
                                                             643,395      14,540       X      X 28-5284     11350     2500       690
SUNOCO INC                   COM            86764P109        524,271      14,735       X        28-5284     14135                600
                                                           1,266,185      35,587       X      X 28-5284     34587               1000
SUNPOWER CORP                COM CL A       867652109         18,726         264       X        28-5284       264
                                                             358,197       5,050       X      X 28-5284      1450               3600
                                                              12,484         176       X        28-11135      176
SUNRISE SENIOR LIVING INC    COM            86768K106          5,792         420       X        28-5284        50                370
                                                              13,790       1,000       X      X 28-5284      1000
SUNSTONE HOTEL INVS INC NEW  COM            867892101        148,028      10,965       X        28-5284     10965
                                                               8,100         600       X      X 28-5284       600
SUNTRUST BKS INC             COM            867914103      2,658,459      59,090       X        28-5284     50484               8606
                                                           5,531,386     122,947       X      X 28-5284    113972      200      8775
                                                             135,510       3,012       X        28-11135     3012
                                                              94,479       2,100       X        28-4580      2100
SUNTECH PWR HLDGS CO LTD     ADR            86800C104         54,702       1,525       X        28-5284      1525
                                                             187,708       5,233       X      X 28-5284      3733               1500
SUPERIOR ENERGY SVCS INC     COM            868157108         28,649         920       X      X 28-5284       920
                                                             696,508      22,367       X        28-11135    22367
SUPERIOR INDS INTL INC       COM            868168105          3,851         201       X        28-5284       201
SUPERTEX INC                 COM            868532102          3,379         120       X        28-5284                          120
SUPERVALU INC                COM            868536103        194,519       8,964       X        28-5284      4864               4100
                                                              71,588       3,299       X      X 28-5284      2233               1066
                                                               9,114         420       X        28-11135      420
SUREWEST COMMUNICATIONS      COM            868733106          1,673         164       X        28-5284       164
SURMODICS INC                COM            868873100         67,074       2,130       X        28-5284      2000                130
                                                             294,117       9,340       X      X 28-5284      4650               4690
SUSQUEHANNA BANCSHARES INC P COM            869099101      1,582,779      81,085       X        28-5284     79379               1706
                                                             319,347      16,360       X      X 28-5284     13002               3358
                                                              37,674       1,930       X      X 28-4580      1930
   COLUMN TOTAL                                           15,021,265








                                                                                                                    FILE NO. 28-1235
PAGE 196 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
SUSSEX BANCORP               COM            869245100         80,000      10,000       X      X 28-5284     10000
SWIFT ENERGY CO              COM            870738101         88,755       2,294       X        28-5284                         2294
                                                              33,003         853       X        28-11135      853
SWISS HELVETIA FD INC        COM            870875101        158,949      12,625       X        28-5284     12625
                                                             111,409       8,849       X      X 28-5284      8849
SYBASE INC                   COM            871130100          2,848          93       X        28-11135       93
SYKES ENTERPRISES INC        COM            871237103         48,554       2,211       X        28-11135     2211
SYMANTEC CORP                COM            871503108      5,208,828     266,028       X        28-5284    236810              29218
                                                           1,849,116      94,439       X      X 28-5284     73535              20904
                                                               1,703          87       X        28-11135       87
SYMMETRICOM INC              COM            871543104          1,342         270       X        28-5284                          270
SYMMETRY MED INC             COM            871546206          1,856         100       X      X 28-5284       100
SYNERGY BRANDS INC           COM PAR $.001  87159E402        240,112     480,224       X      X 28-5284             480224
SYNGENTA AG                  SPONSORED ADR  87160A100         40,458         956       X        28-5284       956
                                                             110,328       2,607       X      X 28-5284      1000               1607
                                                                 423          10       X        28-11135       10
SYNOPSYS INC                 COM            871607107            798          40       X        28-5284        40
SYNOVUS FINL CORP            COM            87161C105        755,622      73,007       X        28-5284     56167              16840
                                                             429,059      41,455       X      X 28-5284     35655     5800
                                                             270,135      26,100       X        28-1500     26100
SYNTEL INC                   COM            87162H103        572,075      23,350       X      X 28-5284     23350
SYNTA PHARMACEUTICALS CORP   COM            87162T206        138,684      18,200       X        28-5284     18200
SYNNEX CORP                  COM            87162W100         39,050       1,748       X        28-11135     1748
SYNIVERSE HLDGS INC          COM            87163F106         38,651       2,327       X        28-11135     2327
SYNTROLEUM CORP              COM            871630109            545         500       X        28-5284       500
   COLUMN TOTAL                                           10,222,303








                                                                                                                    FILE NO. 28-1235
PAGE 197 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
SYSCO CORP                   COM            871829107     18,805,437     609,972       X        28-5284    596549              13423
                                                           8,065,036     261,597       X      X 28-5284    212338     1300     47959
                                                               8,324         270       X        28-11135      270
                                                              41,590       1,349       X        28-4580      1349
                                                             648,972      21,050       X      X 28-4580     21050
SYSTEMAX INC                 COM            871851101        140,600      10,000       X        28-5284     10000
TCF FINL CORP                COM            872275102        150,840       8,380       X        28-5284      7000               1380
                                                             676,998      37,611       X      X 28-5284      5802              31809
TC PIPELINES LP              UT COM LTD PRT 87233Q108        123,760       4,000       X        28-5284      4000
TCW STRATEGIC INCOME FUND IN COM            872340104          3,674       1,371       X      X 28-5284      1371
TDK CORP                     AMERN DEP SH   872351408         10,784         218       X        28-5284       218
TD AMERITRADE HLDG CORP      COM            87236Y108          3,984         239       X        28-5284       239
                                                              16,670       1,000       X      X 28-5284      1000
                                                             100,787       6,046       X        28-11135     6046
TECO ENERGY INC              COM            872375100        214,038      13,607       X        28-5284     13607
                                                             859,471      54,639       X      X 28-5284     52639               2000
TEL OFFSHORE TR              UNIT BEN INT   872382106         33,300       1,800       X      X 28-5284      1800
TEPPCO PARTNERS L P          UT LTD PARTNER 872384102        318,133      12,175       X        28-5284     12175
                                                             398,483      15,250       X      X 28-5284     15250
TGC INDS INC                 COM NEW        872417308        435,402      80,481       X        28-5284     80481
THQ INC                      COM NEW        872443403          7,922         658       X        28-5284       111                547
TIB FINL CORP                COM            872449103          5,686       1,010       X        28-5284      1010
TJX COS INC NEW              COM            872540109      3,686,938     120,804       X        28-5284    114164               6640
                                                           2,099,227      68,782       X      X 28-5284     66499     2283
                                                               4,578         150       X        28-11135      150
                                                              62,566       2,050       X        28-4580      2050
                                                              76,300       2,500       X      X 28-4580      2500
TLC VISION CORP              COM            872549100         51,948      70,200       X      X 28-5284              70200
   COLUMN TOTAL                                           37,051,448








                                                                                                                    FILE NO. 28-1235
PAGE 198 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
TS&W CLAYMORE TAX ADVNTG BL  COM            87280R108          3,111         346       X        28-5284       346
TVI CORP NEW                 COM            872916101          3,600      20,000       X        28-5284     20000
                                                               3,330      18,500       X      X 28-5284     18500
TNS INC                      COM            872960109        163,890       8,461       X        28-11135     8461
TTM TECHNOLOGIES  INC        COM            87305R109        248,823      25,083       X        28-11135    25083
TW TELECOM INC               COM            87311L104            436          42       X        28-11135       42
TAIWAN SEMICONDUCTOR MFG LTD SPONSORED ADR  874039100        195,524      20,867       X        28-5284      7132              13735
                                                              11,497       1,227       X      X 28-5284      1227
                                                               3,795         405       X        28-11135      405
TAKE-TWO INTERACTIVE SOFTWAR COM            874054109         11,562         705       X        28-5284        75                630
TALBOTS INC                  COM            874161102         10,939         835       X        28-5284       835
                                                               3,930         300       X      X 28-5284       300
TALEO CORP                   CL A           87424N104          2,904         146       X        28-5284       146
TALISMAN ENERGY INC          COM            87425E103        351,248      24,701       X        28-11135    24701
                                                              66,834       4,700       X        28-4580      4700
TAM SA                       SP ADR REP PFD 87484D103          2,829         150       X        28-5284       150
TANGER FACTORY OUTLET CTRS I COM            875465106        394,329       9,005       X        28-5284      9005
                                                             100,717       2,300       X      X 28-5284      2300
TANGER PPTYS LTD PARTNERSHIP NOTE  3.750% 8 875484AE7      7,343,440       5,850       X        28-11439     5850
TARGET CORP                  COM            87612E106    132,277,697   2,696,793       X        28-5284   2666378              30415
                                                          18,288,293     372,850       X      X 28-5284    292020    27150     53680
                                                               7,407         151       X        28-11135      151
                                                             122,625       2,500       X        28-4580      2500
                                                             252,608       5,150       X      X 28-4580      5150
TASER INTL INC               COM            87651B104         21,450       3,000       X        28-5284      3000
TASEKO MINES LTD             COM            876511106          1,900       1,000       X        28-5284      1000
                                                                 950         500       X      X 28-5284       500
   COLUMN TOTAL                                          159,895,668








                                                                                                                    FILE NO. 28-1235
PAGE 199 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
TASTY BAKING CO              COM            876553306          4,646       1,125       X      X 28-5284       750                375
TATA MTRS LTD                SPONSORED ADR  876568502          2,298         300       X      X 28-5284       300
                                                              24,726       3,228       X      X 28-4580      3228
TAUBMAN CTRS INC             COM            876664103        409,750       8,195       X        28-5284      8195
                                                              24,500         490       X      X 28-5284       490
TAYLOR CAP GROUP INC         COM            876851106        223,014      18,600       X        28-1500     18600
TECH DATA CORP               COM            878237106         12,686         425       X        28-5284       425
                                                               5,970         200       X      X 28-5284       200
TECHNE CORP                  COM            878377100        173,953       2,412       X        28-5284      2412
                                                           2,369,503      32,855       X      X 28-5284     18605              14250
TECHNITROL INC               COM            878555101          4,881         330       X        28-5284                          330
                                                              26,622       1,800       X      X 28-5284                         1800
TECHNOLOGY SOLUTIONS CO      COM NEW        87872T207        770,723     217,105       X      X 28-5284             217105
TECHNOLOGY RESH CORP         COM NEW        878727304          1,082         500       X        28-5284       500
TECK COMINCO LTD             CL B           878742204          2,912         100       X      X 28-5284                          100
TECUMSEH PRODS CO            CL A           878895200         25,040       1,000       X        28-5284      1000
TEGAL CORP                   COM NEW        879008209         27,502       8,541       X      X 28-5284               8541
TEJON RANCH CO DEL           COM            879080109         92,875       2,500       X      X 28-5284               2500
TEKELEC                      COM            879101103            937          67       X        28-11135       67
TELE NORTE LESTE PART S A    SPON ADR PFD   879246106          1,030          59       X        28-11135       59
TELECOM ITALIA S P A NEW     SPON ADR ORD   87927Y102         16,322       1,094       X        28-5284      1094
TELECOM ITALIA S P A NEW     SPON ADR SVGS  87927Y201         10,045         885       X        28-5284       885
TELECOM CORP NEW ZEALAND LTD SPONSORED ADR  879278208          7,977         868       X        28-5284       868
                                                              23,600       2,568       X      X 28-5284      2142                426
TELECOMMUNICATION SYS INC    CL A           87929J103         36,554       5,290       X      X 28-5284      5290
   COLUMN TOTAL                                            4,299,148








                                                                                                                    FILE NO. 28-1235
PAGE 200 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
TELEDYNE TECHNOLOGIES INC    COM            879360105         17,548         307       X        28-5284        27                280
                                                               3,144          55       X        28-11135       55
TELEFLEX INC                 COM            879369106      4,044,059      63,696       X        28-5284     62511               1185
                                                             934,573      14,720       X      X 28-5284     14720
                                                               4,127          65       X        28-11135       65
TELEFONICA S A               SPONSORED ADR  879382208        279,740       3,913       X        28-5284      3913
                                                             182,728       2,556       X      X 28-5284      2556
                                                             358,451       5,014       X        28-11135     5014
TELEFONOS DE MEXICO S A B    SPON ADR A SHS 879403707         83,647       3,336       X        28-5284      3336
TELEFONOS DE MEXICO S A B    SPON ADR ORD L 879403780        181,126       7,034       X        28-5284      7034
                                                             187,975       7,300       X      X 28-5284      4400               2900
                                                               3,657         142       X        28-11135      142
TELEPHONE & DATA SYS INC     SPL COM        879433860          7,180         200       X        28-5284       200
                                                               1,723          48       X        28-11135       48
TELLABS INC                  COM            879664100         19,253       4,742       X        28-5284                         4742
                                                              10,962       2,700       X      X 28-5284      2700
TELMEX INTERNACIONAL SAB DE  SPONS ADR SR L 879690105         77,194       5,938       X        28-5284      5938
                                                              81,900       6,300       X      X 28-5284      3200               3100
                                                               1,846         142       X        28-11135      142
TELMEX INTERNACIONAL SAB DE  SPON ADR SR A  879690204         34,374       2,696       X        28-5284      2696
TEMECULA VY BANCORP INC CA   COM            87972L104        551,740     100,499       X        28-1500    100499
TEMPLE INLAND INC            COM            879868107         38,760       2,540       X        28-5284      1320               1220
                                                              20,754       1,360       X      X 28-5284      1360
TEMPLETON DRAGON FD INC      COM            88018T101         25,479       1,294       X        28-5284      1294
                                                             122,078       6,200       X      X 28-5284      6200
TEMPLETON EMERGING MKTS FD I COM            880191101         15,196       1,000       X      X 28-5284      1000
TEMPLETON EMERG MKTS INCOME  COM            880192109         64,189       5,916       X        28-5284      5916
                                                              37,552       3,461       X      X 28-5284                         3461
   COLUMN TOTAL                                            7,390,955








                                                                                                                    FILE NO. 28-1235
PAGE 201 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
TEMPLETON GLOBAL INCOME FD   COM            880198106        115,277      14,592       X        28-5284     14592
                                                              19,750       2,500       X      X 28-5284      2500
TEMPUR PEDIC INTL INC        COM            88023U101      1,748,359     148,670       X        28-5284    138395              10275
                                                             130,889      11,130       X      X 28-5284     11130
TENARIS S A                  SPONSORED ADR  88031M109         33,151         889       X        28-5284       889
TENET HEALTHCARE CORP        COM            88033G100         30,142       5,431       X        28-5284      5431
TENNECO INC                  COM            880349105          1,063         100       X        28-5284       100
                                                                 574          54       X      X 28-5284        54
                                                               1,488         140       X        28-4580       140
TERADATA CORP DEL            COM            88076W103          9,380         481       X        28-5284       481
                                                              27,027       1,386       X      X 28-5284      1250                136
                                                               2,418         124       X        28-4580       124
TERADYNE INC                 COM            880770102        124,077      15,887       X        28-5284     14287               1600
                                                              31,302       4,008       X      X 28-5284      4008
TEREX CORP NEW               COM            880779103        170,912       5,600       X        28-5284      5600
                                                             309,778      10,150       X      X 28-5284      9950                200
                                                             225,238       7,380       X        28-11135     7380
TERNIUM SA                   SPON ADR       880890108          3,563         202       X      X 28-5284       202
TERRA INDS INC               COM            880915103          1,470          50       X        28-5284        50
TERRA NITROGEN CO L P        COM UNIT       881005201         43,940         400       X        28-5284       400
                                                              65,910         600       X      X 28-5284       600
TESORO CORP                  COM            881609101         79,977       4,850       X        28-5284      4850
                                                             423,348      25,673       X      X 28-5284     24473     1000       200
                                                              43,699       2,650       X        28-4580      1000               1650
TETRA TECHNOLOGIES INC DEL   COM            88162F105          8,365         604       X        28-5284                          604
TETRA TECH INC NEW           COM            88162G103         30,075       1,250       X        28-5284       750                500
                                                              12,030         500       X      X 28-5284       500
   COLUMN TOTAL                                            3,693,202








                                                                                                                    FILE NO. 28-1235
PAGE 202 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
TEVA PHARMACEUTICAL INDS LTD ADR            881624209      9,849,978     215,112       X        28-5284    208692               6420
                                                          15,012,801     327,862       X      X 28-5284    314572     1640     11650
                                                             175,055       3,823       X        28-11135     3823
                                                             170,568       3,725       X        28-4580      3725
                                                              98,906       2,160       X      X 28-4580      2160
TESSERA TECHNOLOGIES INC     COM            88164L100            114           7       X      X 28-5284         7
TEXAS INDS INC               COM            882491103          9,398         230       X        28-5284                          230
                                                             286,020       7,000       X      X 28-5284      7000
                                                              14,546         356       X        28-11135      356
TEXAS INSTRS INC             COM            882508104     13,451,454     625,649       X        28-5284    574691              50958
                                                          11,579,707     538,591       X      X 28-5284    499533     1350     37708
                                                             488,222      22,708       X        28-11135    22708
                                                              46,763       2,175       X        28-4580      1975                200
                                                              61,168       2,845       X      X 28-4580      2845
TEXAS PAC LD TR              SUB CTF PROP I 882610108        151,110       4,050       X        28-5284      4050
                                                              18,656         500       X      X 28-5284       500
TEXAS ROADHOUSE INC          CL A           882681109        354,656      39,450       X        28-5284     39450
TEXTRON INC                  COM            883203101      2,032,676      69,422       X        28-5284     67402               2020
                                                           1,183,790      40,430       X      X 28-5284     39930                500
                                                             270,342       9,233       X        28-11135     9233
                                                              61,781       2,110       X        28-4580      2110
                                                               2,928         100       X      X 28-4580       100
THE BANK HOLDINGS INC        COM            88331E104        211,220      71,600       X        28-1500     71600
THERAGENICS CORP             COM            883375107            936         300       X        28-5284                          300
THERMO FISHER SCIENTIFIC INC COM            883556102        581,955      10,581       X        28-5284     10581
                                                           1,432,310      26,042       X      X 28-5284     12812              13230
                                                           1,586,970      28,854       X        28-11135    28854
THOMAS & BETTS CORP          COM            884315102        345,965       8,855       X        28-5284      8855
                                                             335,260       8,581       X      X 28-5284      7719                862
THOMPSON CREEK METALS CO INC COM            884768102          2,853         300       X        28-5284       300
   COLUMN TOTAL                                           59,818,108








                                                                                                                    FILE NO. 28-1235
PAGE 203 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
THOMSON                      SPONSORED ADR  885118109            471         133       X        28-5284       133
                                                              11,328       3,200       X      X 28-5284      3200
THOMSON REUTERS PLC          SPONSORED ADR  885141101          1,900          14       X        28-5284        14
                                                              10,315          76       X      X 28-5284        76
THOR INDS INC                COM            885160101         24,820       1,000       X      X 28-5284      1000
                                                                 621          25       X        28-11135       25
THORATEC CORP                COM NEW        885175307          2,625         100       X      X 28-5284       100
THORNBURG MTG INC            PFD E CV 7.50% 885218503         10,575      21,150       X      X 28-5284              21150
THORNBURG MTG INC            PFD CONV SER F 885218701         20,350      37,000       X      X 28-5284              37000
3COM CORP                    COM            885535104          8,644       3,710       X        28-5284      3710
                                                               1,701         730       X      X 28-5284       300                430
                                                             152,832      65,593       X        28-11135    65593
3-D SYS CORP DEL             COM NEW        88554D205        412,922      28,977       X        28-11135    28977
3M CO                        COM            88579Y101     95,961,751   1,404,798       X        28-5284   1348696      600     55502
                                                         104,472,221   1,529,384       X      X 28-5284   1392894     4825    131665
                                                              67,968         995       X        28-11135      995
                                                           3,670,501      53,733       X        28-4580     53733
                                                           3,173,204      46,453       X      X 28-4580     43078               3375
TICKETMASTER                 COM            88633P302          3,369         314       X        28-5284       314
                                                               1,502         140       X      X 28-5284       140
                                                                  54           5       X        28-11135        5
TIDEWATER INC                COM            886423102      6,531,096     117,975       X        28-5284    105685              12290
                                                             481,632       8,700       X      X 28-5284      8700
TIFFANY & CO NEW             COM            886547108        779,309      21,940       X        28-5284     19090               2850
                                                           1,303,442      36,696       X      X 28-5284     19741              16955
                                                              58,040       1,634       X        28-11135     1634
TIM HORTONS INC              COM            88706M103         56,149       1,895       X        28-5284      1895
                                                              63,645       2,148       X      X 28-5284      1336                812
TIMBERLAND CO                CL A           887100105         21,278       1,225       X        28-5284      1225
   COLUMN TOTAL                                          217,304,265








                                                                                                                    FILE NO. 28-1235
PAGE 204 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
TIME WARNER INC              COM            887317105      6,716,869     512,347       X        28-5284    446007              66340
                                                           3,261,178     248,755       X      X 28-5284    184297     1950     62508
                                                              10,252         782       X        28-11135      782
                                                              90,131       6,875       X        28-4580      5875               1000
TIME WARNER CABLE INC        CL A           88732J108          2,057          85       X        28-5284        85
TIMKEN CO                    COM            887389104         12,502         441       X        28-5284       441
TITAN MACHY INC              COM            88830R101          4,162         200       X        28-5284       200
                                                              14,567         700       X      X 28-5284       500                200
TITANIUM METALS CORP         COM NEW        888339207        102,060       9,000       X        28-5284      9000
                                                              47,628       4,200       X      X 28-5284      4200
TIVO INC                     COM            888706108          3,294         450       X        28-5284       450
                                                              14,640       2,000       X      X 28-5284      2000
TOLL BROTHERS INC            COM            889478103        546,431      21,658       X        28-5284     16743               4915
                                                              32,799       1,300       X      X 28-5284      1300
                                                               8,856         351       X        28-4580       351
TOLLGRADE COMMUNICATIONS INC COM            889542106         27,636       6,580       X        28-5284      6500                 80
                                                             451,970     107,612       X      X 28-5284             107612
TOMKINS PLC                  SPONSORED ADR  890030208         10,981         992       X        28-5284       992
TOMPKINS FINANCIAL CORPORATI COM            890110109         13,433         266       X        28-5284                          266
TOOTSIE ROLL INDS INC        COM            890516107         75,975       2,628       X      X 28-5284       826               1802
TORCHMARK CORP               COM            891027104      1,238,518      20,711       X        28-5284      8499              12212
                                                           2,379,801      39,796       X      X 28-5284     12196              27600
TORO CO                      COM            891092108        137,529       3,330       X        28-5284      3000                330
                                                             840,042      20,340       X      X 28-5284      9700              10640
                                                             149,465       3,619       X        28-11135     3619
TORONTO DOMINION BK ONT      COM NEW        891160509      5,600,834      91,832       X        28-5284     91832
                                                             154,549       2,534       X      X 28-5284      2534
   COLUMN TOTAL                                           21,948,159








                                                                                                                    FILE NO. 28-1235
PAGE 205 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
TORTOISE ENERGY INFRSTRCTR C COM            89147L100         13,007         574       X        28-5284       574
                                                              30,591       1,350       X      X 28-5284      1350
                                                              33,990       1,500       X      X 28-4580      1500
TORTOISE CAP RES CORP        COM            89147N304          9,176       1,031       X      X 28-5284      1031
TORTOISE NORTH AMRN ENRGY CO COM            89147T103         16,560       1,000       X        28-5284      1000
TORTOISE ENERGY CAP CORP     COM            89147U100         17,170       1,000       X        28-5284      1000
TOTAL S A                    SPONSORED ADR  89151E109      7,046,222     116,121       X        28-5284    110907               5214
                                                           1,810,934      29,844       X      X 28-5284     22309               7535
                                                             491,447       8,099       X        28-11135     8099
                                                              74,030       1,220       X        28-4580      1220
TOTAL SYS SVCS INC           COM            891906109        459,922      28,044       X        28-5284     28044
                                                              73,866       4,504       X      X 28-5284      1698     2806
TRACK DATA CORP              COM NEW        891918203        210,442     131,526       X      X 28-5284             131526
TOWNEBANK PORTSMOUTH VA      COM            89214P109         22,000       1,000       X      X 28-5284                         1000
TOYOTA MOTOR CORP            SP ADR REP2COM 892331307        868,897      10,127       X        28-5284      9927                200
                                                             337,795       3,937       X      X 28-5284      3692                245
                                                             383,698       4,472       X        28-11135     4472
TORREYPINES THERAPEUTICS INC COM            89235K105         19,094      40,625       X      X 28-5284              40625
TRACTOR SUPPLY CO            COM            892356106          4,205         100       X        28-5284                          100
                                                               2,103          50       X      X 28-5284        50
TRANS WORLD ENTMT CORP       COM            89336Q100      4,462,711   1,571,377       X      X 28-5284            1571377
TRANSAMERICA INCOME SHS INC  COM            893506105        143,332       9,300       X      X 28-5284                         9300
TRANSATLANTIC HLDGS INC      COM            893521104        100,384       1,847       X        28-5284      1250                597
                                                                 380           7       X      X 28-5284         7
TRANSCANADA CORP             COM            89353D107        119,295       3,300       X        28-5284      3300
                                                             234,975       6,500       X      X 28-5284      2500               4000
TRANSDIGM GROUP INC          COM            893641100        402,168      11,749       X      X 28-5284      9534               2215
   COLUMN TOTAL                                           17,388,394








                                                                                                                    FILE NO. 28-1235
PAGE 206 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
TRANSMETA CORP DEL           COM            89376R208            811          50       X        28-5284        50
                                                           4,147,102     255,836       X      X 28-5284             255836
TRANSWITCH CORP              COM            894065101         14,499      26,850       X        28-5284     26850
TRAVELERS COMPANIES INC      COM            89417E109      4,275,784      94,597       X        28-5284     69694              24903
                                                           7,418,134     164,118       X      X 28-5284    153348      222     10548
                                                              29,832         660       X        28-11135      660
                                                              14,690         325       X        28-4580       325
                                                             172,754       3,822       X      X 28-4580      3822
TRAVELCENTERS OF AMERICA LLC COM            894174101         20,879       7,326       X      X 28-5284        14     7312
TREDEGAR CORP                COM            894650100          3,202         180       X        28-5284                          180
TREE COM INC                 COM            894675107             87          18       X        28-5284        18
                                                                 111          23       X      X 28-5284        23
TRI CONTL CORP               COM            895436103         66,841       4,575       X        28-5284      4575
                                                             143,076       9,793       X      X 28-5284      9793
TRIAD GTY INC                COM            895925105            407         259       X      X 28-5284       259
TRICO MARINE SERVICES INC    COM NEW        896106200          2,562         150       X      X 28-5284       150
TRIMAS CORP                  COM NEW        896215209        747,840     114,000       X      X 28-5284    114000
TRIMBLE NAVIGATION LTD       COM            896239100        112,077       4,334       X        28-5284      4334
                                                             783,558      30,300       X      X 28-5284     10950              19350
                                                                 388          15       X        28-11135       15
TRIMERIS INC                 COM            896263100            145          37       X        28-11135       37
TRINA SOLAR LIMITED          SPON ADR       89628E104         11,475         500       X      X 28-5284       500
TRINITY INDS INC             COM            896522109         25,730       1,000       X        28-5284      1000
                                                              21,871         850       X      X 28-5284       850
                                                               1,492          58       X        28-11135       58
TRIUMPH GROUP INC NEW        COM            896818101         54,898       1,201       X        28-5284       300                901
                                                              42,647         933       X        28-11135      933
   COLUMN TOTAL                                           18,112,892








                                                                                                                    FILE NO. 28-1235
PAGE 207 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
TRONOX INC                   COM CL B       897051207             10          91       X        28-5284        80                 11
                                                                  20         189       X      X 28-5284       189
TRUE RELIGION APPAREL INC    COM            89784N104          4,705         182       X        28-11135      182
TRUMP ENTMT RESORTS INC      COM            89816T103         37,660      30,869       X        28-5284     30869
TRUSTCO BK CORP N Y          COM            898349105         24,825       2,120       X        28-5284      1650                470
TRUSTMARK CORP               COM            898402102         10,370         500       X        28-5284       500
                                                               1,203          58       X        28-11135       58
TUPPERWARE BRANDS CORP       COM            899896104        170,311       6,164       X        28-5284      6164
                                                              94,384       3,416       X      X 28-5284      2750                666
                                                              44,401       1,607       X        28-11135     1607
TURKCELL ILETISIM HIZMETLERI SPON ADR NEW   900111204         14,990       1,000       X      X 28-5284      1000
21ST CENTY HLDG CO           COM            90136Q100        320,402      60,913       X      X 28-5284              60913
II VI INC                    COM            902104108        127,578       3,300       X        28-5284      3300
                                                           2,951,923      76,356       X      X 28-5284     65756    10600
TYSON FOODS INC              CL A           902494103         84,022       7,037       X        28-5284       452               6585
                                                              39,498       3,308       X      X 28-5284      3308
UAL CORP                     COM NEW        902549807          1,319         150       X        28-5284       150
UCBH HOLDINGS INC            COM            90262T308          4,936         770       X        28-5284                          770
UDR INC                      COM            902653104        453,441      17,340       X        28-5284     17340
                                                             285,087      10,902       X      X 28-5284     10902
UGI CORP NEW                 COM            902681105        398,842      15,471       X        28-5284     11631               3840
                                                             660,535      25,622       X      X 28-5284     25622
UIL HLDG CORP                COM            902748102         27,807         810       X        28-5284                          810
                                                              11,432         333       X      X 28-5284       333
UST INC                      COM            902911106      1,024,783      15,401       X        28-5284     15461                60-
                                                             649,364       9,759       X      X 28-5284      9759
                                                              79,848       1,200       X        28-4580      1200
   COLUMN TOTAL                                            7,523,696








                                                                                                                    FILE NO. 28-1235
PAGE 208 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
US BANCORP DEL               COM NEW        902973304     55,471,052   1,540,007       X        28-5284   1455429              84578
                                                          19,440,750     539,721       X      X 28-5284    436418     6682     96621
                                                             276,165       7,667       X        28-11135     7667
                                                              43,224       1,200       X        28-4580      1200
                                                             322,883       8,964       X      X 28-4580      8964
UQM TECHNOLOGIES INC         COM            903213106            834         300       X        28-5284       300
URS CORP NEW                 COM            903236107         11,001         300       X      X 28-5284       300
                                                               1,760          48       X        28-11135       48
USANA HEALTH SCIENCES INC    COM            90328M107        315,623       7,700       X      X 28-5284               7700
USA TECHNOLOGIES INC         CONV PFD SER A 90328S203         36,760       4,000       X      X 28-5284                         4000
USA TECHNOLOGIES INC         COM NO PAR     90328S500         10,102       2,440       X        28-5284      2440
                                                               5,974       1,443       X      X 28-5284      1383                 60
U S G CORP                   COM NEW        903293405         32,000       1,250       X        28-5284      1250
                                                              76,800       3,000       X      X 28-5284      1000               2000
USEC INC                     NOTE  3.000%10 90333EAC2     28,375,000     500,000       X      X 28-5284             500000
USEC INC                     COM            90333E108          9,240       1,708       X        28-5284      1708
                                                               5,410       1,000       X      X 28-5284      1000
USA MOBILITY INC             COM            90341G103          2,310         210       X        28-5284       210
U S AIRWAYS GROUP INC        COM            90341W108            905         150       X        28-5284       150
ULTRA CLEAN HLDGS INC        COM            90385V107          3,024         600       X      X 28-5284       600
ULTRALIFE CORP               COM            903899102            543          70       X        28-11135       70
ULTRA PETROLEUM CORP         COM            903914109        129,828       2,346       X        28-5284      2346
                                                           1,045,760      18,897       X      X 28-5284      6497              12400
                                                               1,384          25       X        28-11135       25
                                                              27,670         500       X        28-11439      500
ULTRATECH INC                COM            904034105          2,299         190       X        28-5284                          190
UMPQUA HLDGS CORP            COM            904214103        172,107      11,700       X        28-1500     11700
   COLUMN TOTAL                                          105,820,408








                                                                                                                    FILE NO. 28-1235
PAGE 209 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
UNDER ARMOUR INC             CL A           904311107         15,880         500       X        28-5284       100                400
                                                             139,744       4,400       X      X 28-5284      4400
UNICA CORP                   COM            904583101        171,633      21,892       X        28-5284     21892
UNIFIRST CORP MASS           COM            904708104          4,309         100       X        28-5284                          100
                                                              41,625         966       X        28-11135      966
UNILEVER PLC                 SPON ADR NEW   904767704      4,168,082     153,182       X        28-5284    127710              25472
                                                           2,083,279      76,563       X      X 28-5284     55755              20808
                                                              19,210         706       X        28-11135      706
                                                               3,184         117       X        28-4580       117
                                                              34,965       1,285       X      X 28-4580      1285
UNILEVER N V                 N Y SHS NEW    904784709      8,351,918     296,588       X        28-5284    284196              12392
                                                          12,756,029     452,984       X      X 28-5284    432053     5352     15579
                                                             218,775       7,769       X        28-11135     7769
                                                              72,991       2,592       X        28-4580      2292                300
                                                              73,836       2,622       X      X 28-4580      2622
UNION BANKSHARES INC         COM            905400107         82,000       4,000       X      X 28-5284      4000
UNION PAC CORP               COM            907818108     49,608,198     697,136       X        28-5284    642551              54585
                                                          30,908,275     434,349       X      X 28-5284    411487     4317     18545
                                                             159,256       2,238       X        28-11135     2238
                                                             336,444       4,728       X        28-4580      4728
                                                             520,180       7,310       X      X 28-4580      7310
UNIONBANCAL CORP             COM            908906100          7,329         100       X        28-5284                          100
UNISOURCE ENERGY CORP        COM            909205106          8,173         280       X        28-5284                          280
                                                               4,087         140       X        28-11135      140
UNISYS CORP                  COM            909214108          4,868       1,770       X        28-5284      1770
                                                               1,788         650       X      X 28-5284       650
UNIT CORP                    COM            909218109        217,713       4,370       X        28-5284      4000                370
                                                               2,740          55       X        28-11135       55
UNITED AMERN HEALTHCARE CORP COM            90934C105      1,804,754     920,793       X      X 28-5284             920793
UNITED CMNTY BKS BLAIRSVLE G CAP STK        90984P105        173,998      13,122       X        28-11135    13122
   COLUMN TOTAL                                          111,995,263








                                                                                                                    FILE NO. 28-1235
PAGE 210 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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 BANKSHARES INC WEST V COM            909907107        271,495       7,757       X        28-5284      7407                350
                                                             109,200       3,120       X      X 28-5284      3120
UNITED BANCORP INC OHIO      COM            909911109         36,000       3,600       X        28-5284      3600
UNITED DOMINION REALTY TR IN NOTE  4.000%12 910197AK8      2,049,846       2,000       X        28-11439     2000
UNITED DOMINION REALTY TR IN NOTE 3.625%
                             9/1            910197AM4      3,190,965       3,500       X        28-11439     3500
UNITED MICROELECTRONICS CORP SPON ADR NEW   910873405            156          80       X        28-5284        80
                                                                 209         107       X      X 28-5284       107
                                                                 803         412       X      X 28-4580       412
UNITED NAT FOODS INC         COM            911163103          8,747         350       X        28-5284                          350
                                                             180,653       7,229       X        28-11135     7229
UNITED ONLINE INC            COM            911268100         10,492       1,115       X        28-5284      1115
                                                             240,068      25,512       X      X 28-5284     24000     1512
UNITED PARCEL SERVICE INC    CL B           911312106     64,507,971   1,025,727       X        28-5284    963714              62013
                                                          37,444,014     595,389       X      X 28-5284    580896      625     13868
                                                              40,438         643       X        28-11135      643
                                                             194,645       3,095       X        28-4580      2670                425
                                                           1,040,767      16,549       X      X 28-4580     16549
US GOLD CORPORATION          COM PAR $0.10  912023207         93,060      70,500       X        28-5284     70500
UNITED STATES NATL GAS FUND  UNIT           912318102         23,324         700       X      X 28-5284       700
UNITED STATES OIL FUND LP    UNITS          91232N108        278,834       3,400       X        28-5284      3400
                                                                 410           5       X      X 28-5284         5
U STORE IT TR                COM            91274F104        240,983      19,640       X        28-5284     19640
                                                              71,657       5,840       X      X 28-5284      5840
UNITED STATES STL CORP NEW   COM            912909108      2,186,118      28,168       X        28-5284     26344               1824
                                                             434,461       5,598       X      X 28-5284      5398                200
                                                             234,227       3,018       X        28-11135     3018
                                                              15,522         200       X        28-4580       200
UNITED STATIONERS INC        COM            913004107          9,566         200       X        28-5284                          200
   COLUMN TOTAL                                          112,914,631








                                                                                                                    FILE NO. 28-1235
PAGE 211 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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 TECHNOLOGIES CORP     COM            913017109    115,534,899   1,923,658       X        28-5284   1841234              82424
                                                          88,030,663   1,465,712       X      X 28-5284   1329298    10227    126187
                                                           1,043,122      17,368       X        28-11135    17368
                                                           1,997,415      33,257       X        28-4580     32757                500
                                                           1,936,695      32,246       X      X 28-4580     32104                142
UNITED THERAPEUTICS CORP DEL COM            91307C102         31,551         300       X      X 28-5284       300
UNITEDHEALTH GROUP INC       COM            91324P102      6,346,002     249,941       X        28-5284    217061              32880
                                                           1,959,575      77,179       X      X 28-5284     58529              18650
                                                             206,929       8,150       X        28-4580      8150
UNITIL CORP                  COM            913259107          5,182         200       X      X 28-5284       200
UNITRIN INC                  COM            913275103          4,988         200       X      X 28-5284       200
UNIVERSAL CORP VA            COM            913456109        122,725       2,500       X        28-5284      2500
                                                              56,454       1,150       X      X 28-5284      1000                150
UNIVERSAL DISPLAY CORP       COM            91347P105         18,632       1,700       X        28-5284       700               1000
UNIVERSAL FST PRODS INC      COM            913543104          5,586         160       X        28-5284                          160
UNIVERSAL HEALTH RLTY INCM T SH BEN INT     91359E105        184,775       4,750       X      X 28-5284      3400               1350
UNIVERSAL HLTH SVCS INC      CL B           913903100         37,428         668       X        28-5284       668
                                                              16,809         300       X      X 28-5284                          300
                                                                 560          10       X        28-11135       10
UNUM GROUP                   COM            91529Y106        855,835      34,097       X        28-5284      8771              25326
                                                             324,192      12,916       X      X 28-5284     12039                877
URANERZ ENERGY CORPORATION   COM            91688T104          9,625       7,700       X        28-5284      7700
URBAN OUTFITTERS INC         COM            917047102      4,068,014     127,644       X        28-5284     87149              40495
                                                           3,824,081     119,990       X      X 28-5284    104580              15410
                                                             718,190      22,535       X        28-11135    22535
URSTADT BIDDLE PPTYS INS     COM            917286106          8,435         500       X      X 28-5284       500
URSTADT BIDDLE PPTYS INS     CL A           917286205         49,688       2,650       X        28-5284      1750                900
                                                              37,500       2,000       X      X 28-5284      2000
   COLUMN TOTAL                                          227,435,550








                                                                                                                    FILE NO. 28-1235
PAGE 212 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
VCA ANTECH INC               COM            918194101        184,188       6,250       X        28-5284       550               5700
                                                             122,301       4,150       X      X 28-5284      4150
V F CORP                     COM            918204108      1,140,323      14,750       X        28-5284     12990               1760
                                                        1648,247,886  21,319,983       X      X 28-5284  21319833                150
                                                             525,940       6,803       X        28-11135     6803
                                                          26,834,688     347,105       X      X 28-4580             347105
VIST FINANCIAL CORP          COM            918255100          6,000         500       X        28-5284       500
VAIL RESORTS INC             COM            91879Q109            944          27       X        28-11135       27
VALHI INC NEW                COM            918905100          6,642         369       X        28-5284       369
VALENCE TECHNOLOGY INC       COM            918914102          6,900       2,000       X      X 28-5284      2000
VALEANT PHARMACEUTICALS INTL COM            91911X104         11,852         579       X        28-5284       579
                                                               4,094         200       X      X 28-5284       200
VALE CAP LTD                 NT RIO CV VALE 91912C208      3,120,645      80,000       X        28-11439    80000
VALERO ENERGY CORP NEW       COM            91913Y100        217,221       7,169       X        28-5284      7069                100
                                                           1,171,307      38,657       X      X 28-5284     35057      900      2700
                                                             229,159       7,563       X        28-11135     7563
                                                              24,422         806       X        28-4580       806
VALLEY NATL BANCORP          COM            919794107        128,003       6,107       X        28-5284      6107
VALMONT INDS INC             COM            920253101         23,980         290       X        28-5284       150                140
VALSPAR CORP                 COM            920355104      2,595,225     116,430       X        28-5284    104540              11890
                                                           1,238,076      55,544       X      X 28-5284     24259              31285
                                                              15,759         707       X        28-11135      707
VALUECLICK INC               COM            92046N102         14,834       1,450       X        28-5284      1450
                                                              14,353       1,403       X      X 28-5284      1403
                                                                 143          14       X        28-11135       14
VAN KAMPEN HIGH INCOME TR II SH BEN INT     920913100          5,402       2,359       X        28-5284      2359
VAN KAMPEN MUN TR            SH BEN INT     920919107         21,384       1,944       X        28-5284      1944
VAN KAMPEN TR INSD MUNS      COM            920928108         37,654       3,365       X      X 28-5284      3365
   COLUMN TOTAL                                        1,685,949,325








                                                                                                                    FILE NO. 28-1235
PAGE 213 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
VAN KAMPEN TR INVT GRADE MUN COM            920929106         17,445       1,500       X      X 28-5284      1500
VAN KAMPEN MUN OPPORTUNITY T COM            920935103          6,606         600       X      X 28-5284       600
VAN KAMPEN BD FD             COM            920955101         35,975       2,500       X      X 28-5284                         2500
VAN KAMPEN SENIOR INCOME TR  COM            920961109         57,442      14,079       X        28-5284     14079
                                                              14,933       3,660       X      X 28-5284      3660
VAN KAMPEN SELECT SECTOR MUN COM            92112M103         28,890       3,000       X        28-5284      3000
VAN KAMPEN PA VALUE MUN INCO COM            92112T108        507,720      44,733       X        28-5284     44733
                                                             236,648      20,850       X      X 28-5284     18544     2306
VAN KAMPEN DYNAMIC CR OPPORT COM            921166104         21,260       2,000       X        28-5284      2000
VANGUARD SPECIALIZED PORTFOL DIV APP ETF    921908844         19,570         409       X      X 28-5284       409
VANGUARD BD INDEX FD INC     LONG TERM BOND 921937793        232,485       3,257       X        28-11135     3257
VANGUARD BD INDEX FD INC     INTERMED TERM  921937819         38,467         525       X      X 28-5284       525
VANGUARD BD INDEX FD INC     SHORT TRM BOND 921937827        366,463       4,750       X      X 28-5284      4750
                                                             231,527       3,001       X        28-11135     3001
VANGUARD BD INDEX FD INC     TOTAL BND MRKT 921937835      1,801,873      23,828       X        28-5284     23828
                                                             259,603       3,433       X      X 28-5284      3433
VANGUARD TAX-MANAGED FD      EUROPE PAC ETF 921943858        527,620      15,002       X        28-5284     15002
                                                              77,022       2,190       X      X 28-5284      2190
                                                             121,934       3,467       X      X 28-4580      3467
VANGUARD WORLD FDS           CONSUM DIS ETF 92204A108        989,865      22,451       X        28-5284     22451
                                                             625,946      14,197       X      X 28-5284     14197
VANGUARD WORLD FDS           CONSUM STP ETF 92204A207      1,931,886      28,431       X        28-5284     28431
                                                           2,185,204      32,159       X      X 28-5284     32159
VANGUARD WORLD FDS           ENERGY ETF     92204A306      2,111,473      22,648       X        28-5284     22548                100
                                                             211,166       2,265       X      X 28-5284      2265
   COLUMN TOTAL                                           12,659,023








                                                                                                                    FILE NO. 28-1235
PAGE 214 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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 WORLD FDS           FINANCIALS ETF 92204A405      1,063,427      27,073       X        28-5284     27073
                                                             718,667      18,296       X      X 28-5284     18296
                                                              14,534         370       X        28-4580       370
VANGUARD WORLD FDS           HEALTH CAR ETF 92204A504      1,622,228      30,097       X        28-5284     29543                554
                                                             470,978       8,738       X      X 28-5284      8738
                                                              64,680       1,200       X        28-4580      1200
                                                              40,425         750       X      X 28-4580       750
VANGUARD WORLD FDS           INDUSTRIAL ETF 92204A603      2,160,007      37,171       X        28-5284     37171
                                                           1,055,975      18,172       X      X 28-5284     18172
VANGUARD WORLD FDS           INF TECH ETF   92204A702      5,063,818     109,134       X        28-5284    109134
                                                           5,524,059     119,053       X      X 28-5284    119053
                                                             115,861       2,497       X        28-4580      2497
VANGUARD WORLD FDS           MATERIALS ETF  92204A801      2,501,329      36,620       X        28-5284     34310               2310
                                                             948,552      13,887       X      X 28-5284     13887
VANGUARD WORLD FDS           UTILITIES ETF  92204A876        405,702       5,908       X        28-5284      5908
                                                              14,352         209       X      X 28-5284       209
                                                              10,301         150       X      X 28-4580       150
VANGUARD WORLD FDS           TELCOMM ETF    92204A884        134,976       2,530       X        28-5284      2530
                                                              16,005         300       X      X 28-5284       300
VANGUARD INTL EQUITY INDEX F ALLWRLD EX US  922042775      3,195,987      75,306       X        28-5284     75306
                                                             248,995       5,867       X      X 28-5284      5827       40
                                                              40,318         950       X        28-4580       950
                                                             270,003       6,362       X      X 28-4580      6362
VANGUARD INTL EQUITY INDEX F EMR MKT ETF    922042858     14,576,506     420,557       X        28-5284    402626              17931
                                                          13,874,121     400,292       X      X 28-5284    375356     2332     22604
                                                             445,797      12,862       X        28-11135    12862
                                                             133,129       3,841       X        28-4580      3841
                                                             372,387      10,744       X      X 28-4580     10744
VANGUARD INTL EQUITY INDEX F PACIFIC ETF    922042866      1,016,029      19,641       X        28-5284     18326               1315
                                                             251,770       4,867       X      X 28-5284      4867
                                                             266,203       5,146       X        28-4580      5146
   COLUMN TOTAL                                           56,637,121








                                                                                                                    FILE NO. 28-1235
PAGE 215 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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 EURPEAN ETF    922042874      1,395,252      26,143       X        28-5284     26143
                                                             439,449       8,234       X      X 28-5284      8234
                                                             154,773       2,900       X        28-4580      2900
VARIAN MED SYS INC           COM            92220P105     10,187,822     178,327       X        28-5284    170035               8292
                                                           3,349,361      58,627       X      X 28-5284     57727                900
                                                               1,428          25       X        28-11135       25
                                                              16,111         282       X        28-4580       282
                                                              57,130       1,000       X      X 28-4580      1000
VARIAN INC                   COM            922206107          5,834         136       X        28-5284       136
                                                               8,580         200       X      X 28-5284       200
VARIAN SEMICONDUCTOR EQUIPMN COM            922207105         26,250       1,045       X        28-5284       425                620
                                                              11,304         450       X      X 28-5284       450
                                                               1,080          43       X        28-11135       43
VASOGEN INC                  COM NEW        92232F202             11          60       X        28-5284        60
VECTREN CORP                 COM            92240G101        137,356       4,932       X        28-5284      4932
                                                             425,576      15,281       X      X 28-5284     15281
VECTOR GROUP LTD             COM            92240M108            477          27       X        28-5284        27
VEECO INSTRS INC DEL         COM            922417100          3,851         260       X        28-5284                          260
VENTAS INC                   COM            92276F100        652,888      13,211       X        28-5284     13211
                                                              81,049       1,640       X      X 28-5284      1440                200
                                                               2,669          54       X        28-11135       54
VANGUARD INDEX FDS           MCAP VL IDXVIP 922908512      1,635,792      36,917       X        28-5284     26276              10641
                                                           1,306,923      29,495       X      X 28-5284     28587      700       208
                                                              70,985       1,602       X      X 28-4580      1602
VANGUARD INDEX FDS           MCAP GR IDXVIP 922908538      2,257,163      47,801       X        28-5284     34274              13527
                                                           7,511,474     159,074       X      X 28-5284     36911      700    121463
VANGUARD INDEX FDS           REIT ETF       922908553         95,456       1,570       X        28-5284      1570
                                                             115,946       1,907       X      X 28-5284       579               1328
                                                              11,856         195       X      X 28-4580       195
   COLUMN TOTAL                                           29,963,846








                                                                                                                    FILE NO. 28-1235
PAGE 216 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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           SML CP GRW ETF 922908595      3,541,738      59,756       X        28-5284     58007               1749
                                                          12,930,877     218,169       X      X 28-5284      6313      400    211456
                                                                 296           5       X        28-4580         5
                                                              41,489         700       X      X 28-4580       700
VANGUARD INDEX FDS           SM CP VAL ETF  922908611        893,820      15,050       X        28-5284     13342               1708
                                                           3,222,917      54,267       X      X 28-5284      6063      400     47804
                                                                 297           5       X        28-4580         5
                                                              72,337       1,218       X      X 28-4580      1218
VANGUARD INDEX FDS           MID CAP ETF    922908629      3,846,825      64,805       X        28-5284     61148               3657
                                                          13,169,016     221,850       X      X 28-5284     36798      600    184452
                                                              83,045       1,399       X        28-4580      1399
                                                             209,897       3,536       X      X 28-4580      3536
VANGUARD INDEX FDS           LARGE CAP ETF  922908637     14,338,096     272,432       X        28-5284    265187               7245
                                                          35,851,714     681,203       X      X 28-5284     69169             612034
                                                             262,413       4,986       X      X 28-4580      4986
VANGUARD INDEX FDS           EXTEND MKT ETF 922908652         26,382         600       X        28-5284       600
                                                              72,375       1,646       X      X 28-5284      1646
VANGUARD INDEX FDS           GROWTH ETF     922908736     14,562,831     278,928       X        28-5284    253625              25303
                                                          27,515,714     527,020       X      X 28-5284    101082    30975    394963
VANGUARD INDEX FDS           VALUE ETF      922908744     12,186,811     232,484       X        28-5284    214160              18324
                                                           4,321,138      82,433       X      X 28-5284     65330    16580       523
VANGUARD INDEX FDS           SMALL CP ETF   922908751      6,150,034     103,102       X        28-5284    100085               3017
                                                          11,644,515     195,214       X      X 28-5284     70859     5388    118967
                                                             113,514       1,903       X        28-4580      1903
                                                             115,184       1,931       X      X 28-4580      1931
VANGUARD INDEX FDS           STK MRK ETF    922908769     16,277,071     278,908       X        28-5284    278152                756
                                                           2,821,939      48,354       X      X 28-5284     46752      832       770
VEOLIA ENVIRONNEMENT         SPONSORED ADR  92334N103         96,389       2,335       X        28-5284       910               1425
                                                             400,416       9,700       X      X 28-5284      6700               3000
VERENIUM CORPORATION         COM            92340P100         14,168      15,072       X        28-5284     15072
VERIFONE HLDGS INC           COM            92342Y109         13,232         800       X        28-5284       800
                                                               3,308         200       X      X 28-5284       200
   COLUMN TOTAL                                          184,799,798








                                                                                                                    FILE NO. 28-1235
PAGE 217 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
VERISIGN INC                 COM            92343E102          3,912         150       X      X 28-5284                          150
VERIZON COMMUNICATIONS INC   COM            92343V104     63,343,606   1,973,936       X        28-5284   1898583              75353
                                                          98,008,251   3,054,168       X      X 28-5284   2558369     5680    490119
                                                             786,012      24,494       X        28-11135    24494
                                                           1,218,233      37,963       X        28-4580     37860                103
                                                             959,651      29,905       X      X 28-4580     28356      590       959
VERSAR INC                   COM            925297103         10,650       2,500       X      X 28-5284      2500
VERTEX PHARMACEUTICALS INC   COM            92532F100         71,134       2,140       X        28-5284      1800                340
VIAD CORP                    COM NEW        92552R406         16,900         587       X        28-5284       587
VIASAT INC                   COM            92552V100         22,873         970       X        28-5284       750                220
                                                               9,432         400       X      X 28-5284       400
VIACOM INC NEW               CL A           92553P102         21,529         866       X        28-5284       479                387
                                                              30,826       1,240       X      X 28-5284       887                353
VIACOM INC NEW               CL B           92553P201      1,330,381      53,558       X        28-5284     41828              11730
                                                           1,285,197      51,739       X      X 28-5284     41954      300      9485
                                                              21,909         882       X        28-11135      882
                                                               1,242          50       X        28-4580        50
                                                              24,840       1,000       X      X 28-4580      1000
VICAL INC                    COM            925602104          2,160       1,000       X        28-5284      1000
VICOR CORP                   COM            925815102          1,154         130       X        28-5284                          130
VILLAGE BK & TR FINANCIAL CO COM            92705T101        553,936      73,369       X      X 28-5284     73369
VINEYARD NATL BANCORP        COM            927426106        147,540     118,032       X        28-1500    118032
VIRGINIA COMM BANCORP INC    COM            92778Q109          6,250       1,000       X        28-5284      1000
                                                             132,131      21,141       X        28-11135    21141
VIROPHARMA INC               COM            928241108            328          25       X        28-5284        25
                                                               1,312         100       X      X 28-5284       100
   COLUMN TOTAL                                          168,011,389








                                                                                                                    FILE NO. 28-1235
PAGE 218 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
VISA INC                     COM CL A       92826C839      6,450,431     105,073       X        28-5284     99078               5995
                                                           2,689,435      43,809       X      X 28-5284     43054                755
                                                               5,771          94       X        28-11135       94
                                                              15,777         257       X        28-4580       257
                                                               4,850          79       X      X 28-4580        79
VISHAY INTERTECHNOLOGY INC   COM            928298108         50,656       7,652       X        28-5284      7652
                                                              23,508       3,551       X      X 28-5284      3551
VISTEON CORP                 COM            92839U107          1,076         464       X      X 28-5284       464
                                                               1,213         523       X        28-4580       523
VITAL IMAGES INC             COM            92846N104        102,540       6,836       X        28-5284      6836
VITAL SIGNS INC              COM            928469105          4,434          60       X        28-5284                           60
                                                              71,018         961       X        28-11135      961
VMWARE INC                   CL A COM       928563402         18,648         700       X        28-5284       700
VODAFONE GROUP PLC NEW       SPONS ADR NEW  92857W209      6,272,820     283,838       X        28-5284    238457              45381
                                                           7,962,453     360,292       X      X 28-5284    302243     2095     55954
                                                             399,192      18,063       X        28-11135    18063
                                                              48,421       2,191       X        28-4580      2191
                                                              43,493       1,968       X      X 28-4580      1968
VOCUS INC                    COM            92858J108        509,400      15,000       X        28-5284                        15000
VOLT INFORMATION SCIENCES IN COM            928703107            943         105       X        28-5284                          105
VONAGE HLDGS CORP            COM            92886T201            719         712       X        28-5284       712
VORNADO RLTY TR              SH BEN INT     929042109      1,616,182      17,770       X        28-5284     16930                840
                                                             317,688       3,493       X      X 28-5284      3493
VORNADO RLTY TR              PFD CONV SER A 929042208         63,070         500       X        28-5284                          500
VULCAN MATLS CO              COM            929160109        118,455       1,590       X        28-5284       790                800
                                                             680,409       9,133       X      X 28-5284      6203               2930
W & T OFFSHORE INC           COM            92922P106          2,047          75       X        28-11135       75
   COLUMN TOTAL                                           27,474,649








                                                                                                                    FILE NO. 28-1235
PAGE 219 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
WD-40 CO                     COM            929236107          5,030         140       X        28-5284                          140
                                                              35,930       1,000       X      X 28-5284      1000
                                                             320,388       8,917       X        28-11135     8917
WGL HLDGS INC                COM            92924F106         80,736       2,488       X        28-5284      1688                800
                                                             461,309      14,216       X      X 28-5284      7116               7100
W HLDG CO INC                COM            929251106             43          80       X        28-11135       80
WABCO HLDGS INC              COM            92927K102          2,914          82       X        28-5284        82
                                                              21,893         616       X      X 28-5284       616
WMS INDS INC                 COM            929297109         18,342         600       X        28-5284       600
                                                             136,037       4,450       X      X 28-5284      4450
W P CAREY & CO LLC           COM            92930Y107        904,052      34,638       X        28-5284     34138                500
                                                             594,088      22,762       X      X 28-5284     21262               1500
WPP GROUP PLC                SPON ADR 0905  929309409          1,016          25       X        28-5284        25
                                                               1,300          32       X      X 28-5284        32
                                                              14,346         353       X        28-11135      353
WSFS FINL CORP               COM            929328102         30,000         500       X        28-5284       500
                                                              15,540         259       X        28-4580       259
WSB HOLDINGS INC             COM            92934C101         12,025       2,500       X      X 28-5284      2500
WVS FINL CORP                COM            929358109         32,800       2,000       X        28-5284      2000
WABASH NATL CORP             COM            929566107          2,268         240       X        28-5284                          240
WABTEC CORP                  COM            929740108      1,616,307      31,550       X        28-5284      1900              29650
                                                           7,807,452     152,400       X      X 28-5284      8195             144205
                                                              77,511       1,513       X        28-11135     1513
                                                          13,699,004     267,402       X        28-4580    267402
WACHOVIA CORP NEW            COM            929903102      3,301,781     943,366       X        28-5284    855564              87802
                                                           3,057,863     873,675       X      X 28-5284    791787     4296     77592
                                                              78,740      22,497       X        28-11135    22497
                                                              45,647      13,042       X        28-4580     15042              2000-
                                                              47,397      13,542       X      X 28-4580     13542
   COLUMN TOTAL                                           32,421,759








                                                                                                                    FILE NO. 28-1235
PAGE 220 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
WADDELL & REED FINL INC      CL A           930059100        121,523       4,910       X        28-5284      4910
                                                             487,352      19,691       X      X 28-5284                        19691
                                                               4,133         167       X        28-11135      167
WAL MART STORES INC          COM            931142103    106,490,649   1,778,104       X        28-5284   1684514              93590
                                                          65,304,355   1,090,405       X      X 28-5284   1006966     7322     76117
                                                             720,057      12,023       X        28-11135    12023
                                                           1,824,429      30,463       X        28-4580     30263                200
                                                             570,512       9,526       X      X 28-4580      9170                356
WALGREEN CO                  COM            931422109     15,702,510     507,187       X        28-5284    463959              43228
                                                          10,878,198     351,363       X      X 28-5284    320994      300     30069
                                                              50,805       1,641       X        28-11135     1641
                                                             161,766       5,225       X        28-4580      5225
                                                              58,824       1,900       X      X 28-4580      1900
WALTER INDS INC              COM            93317Q105          4,745         100       X        28-5284       100
                                                              27,284         575       X      X 28-5284       575
WARNACO GROUP INC            COM NEW        934390402        167,301       3,694       X        28-5284                         3694
                                                              67,074       1,481       X        28-11135     1481
WARNER MUSIC GROUP CORP      COM            934550104          1,778         234       X        28-5284       234
WARWICK VALLEY TEL CO        COM            936750108          7,847         700       X      X 28-5284       700
WASHINGTON MUT INC           COM            939322103          3,549      43,276       X        28-5284     42966                310
                                                               3,465      42,255       X      X 28-5284     40230               2025
                                                                 433       5,276       X        28-11135     5276
                                                               1,230      15,000       X        28-11439    15000
                                                                 351       4,275       X        28-4580      4275
                                                                 164       2,000       X      X 28-4580      2000
WASHINGTON POST CO           CL B           939640108        294,526         529       X        28-5284       249                280
                                                           1,282,218       2,303       X      X 28-5284      1900                403
                                                              17,260          31       X        28-11135       31
WASHINGTON REAL ESTATE INVT  SH BEN INT     939653101        214,286       5,850       X        28-5284      3200               2650
                                                             372,710      10,175       X      X 28-5284      9775                400
                                                              91,575       2,500       X      X 28-4580      2500
WASHINGTON TR BANCORP        COM            940610108        108,927       4,095       X      X 28-5284      4095
   COLUMN TOTAL                                          205,041,836








                                                                                                                    FILE NO. 28-1235
PAGE 221 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
WASTE CONNECTIONS INC        COM            941053100         21,712         633       X        28-5284        78                555
                                                              21,335         622       X        28-11135      622
WASTE MGMT INC DEL           COM            94106L109      1,877,938      59,636       X        28-5284     36036              23600
                                                           1,125,610      35,745       X      X 28-5284     17195              18550
                                                             719,011      22,833       X        28-11135    22833
                                                               2,645          84       X      X 28-4580        84
WASTE SERVICES INC DEL       COM NEW        941075202          4,691         633       X        28-5284       633
WATERS CORP                  COM            941848103        717,243      12,328       X        28-5284     10228               2100
                                                           3,035,542      52,175       X      X 28-5284     51144     1031
                                                             202,234       3,476       X        28-11135     3476
                                                              83,896       1,442       X      X 28-4580      1442
WATSCO INC                   COM            942622200         11,062         220       X        28-5284                          220
                                                               2,011          40       X        28-11135       40
WATSON PHARMACEUTICALS INC   COM            942683103         38,846       1,363       X        28-5284      1363
                                                              18,525         650       X      X 28-5284                          650
                                                             127,794       4,484       X        28-11135     4484
WATSON WYATT WORLDWIDE INC   CL A           942712100        138,349       2,782       X      X 28-5284                         2782
                                                              56,991       1,146       X        28-11135     1146
WATTS WATER TECHNOLOGIES INC CL A           942749102         20,513         750       X        28-5284       500                250
                                                              13,675         500       X      X 28-5284       500
WAUSAU PAPER CORP            COM            943315101         14,182       1,400       X      X 28-5284      1400
WEBMD HEALTH CORP            CL A           94770V102        118,960       4,000       X      X 28-5284      4000
WEBSTER FINL CORP CONN       COM            947890109          1,465          58       X        28-5284        58
                                                              98,677       3,908       X      X 28-5284      3908
WEINGARTEN RLTY INVS         SH BEN INT     948741103      1,246,845      34,955       X        28-5284     34955
                                                           2,639,687      74,003       X      X 28-5284     25255              48748
WEIS MKTS INC                COM            948849104        534,532      14,844       X        28-5284     14344                500
                                                               9,003         250       X      X 28-5284       250
WELLCARE HEALTH PLANS INC    COM            94946T106          5,256         146       X        28-11135      146
   COLUMN TOTAL                                           12,908,230








                                                                                                                    FILE NO. 28-1235
PAGE 222 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
WELLPOINT INC                COM            94973V107      4,277,678      91,462       X        28-5284     87093               4369
                                                           3,313,608      70,849       X      X 28-5284     54249      500     16100
                                                             388,705       8,311       X        28-11135     8311
                                                              72,494       1,550       X        28-4580      1550
                                                              23,385         500       X      X 28-4580       500
WELLS FARGO & CO NEW         COM            949746101     81,956,700   2,183,765       X        28-5284   2110009              73756
                                                         119,235,587   3,177,074       X      X 28-5284   3036872    21650    118552
                                                              69,956       1,864       X        28-11135     1864
                                                           1,280,599      34,122       X        28-4580     34122
                                                             952,624      25,383       X      X 28-4580     25383
WERNER ENTERPRISES INC       COM            950755108          1,411          65       X        28-11135       65
WESBANCO INC                 COM            950810101      1,388,260      52,151       X        28-5284     52151
                                                             433,746      16,294       X      X 28-5284     16294
WESCO INTL INC               COM            95082P105         63,073       1,960       X        28-5284      1960
                                                             203,056       6,310       X        28-11135     6310
WEST PHARMACEUTICAL SVSC INC COM            955306105        248,982       5,100       X        28-5284      5100
                                                              32,709         670       X      X 28-5284                          670
WESTAR ENERGY INC            COM            95709T100         18,432         800       X        28-5284       800
                                                              23,040       1,000       X      X 28-5284      1000
WESTAMERICA BANCORPORATION   COM            957090103         22,437         390       X        28-5284       390
WESTERN ASSET GLB HI INCOME  COM            95766B109        104,675      12,506       X      X 28-5284                        12506
WESTERN AST EMRG MKT FLT RT  COM            95766C107         28,000       2,000       X      X 28-5284      2000
WESTERN ASSET EMRG MKT INCM  COM            95766E103          4,585         500       X      X 28-5284       500
WESTERN ASSET HIGH INCM FD I COM            95766J102         53,379       7,550       X      X 28-5284      7550
WESTERN ASSET HIGH INCM OPP  COM            95766K109         46,438      10,700       X      X 28-5284     10700
WESTERN ASST MNG MUN FD INC  COM            95766M105             47           5       X        28-5284         5
                                                              46,500       5,000       X      X 28-5284      5000
WESTERN ASSET MUN HI INCM FD COM            95766N103             89          13       X        28-5284        13
   COLUMN TOTAL                                          214,290,195








                                                                                                                    FILE NO. 28-1235
PAGE 223 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
WESTERN ASSET CLYM INFL SEC  COM SH BEN INT 95766Q106         23,858       2,270       X        28-5284      2270
                                                             104,049       9,900       X      X 28-5284                         9900
WESTERN ASSET CLYM INFL OPP  COM            95766R104        122,148      11,700       X      X 28-5284                        11700
WESTERN ASSET INCOME FD      COM            95766T100          1,369         133       X        28-5284       133
                                                              29,841       2,900       X      X 28-5284                         2900
WESTERN ASSET INFL MGMT FD I COM            95766U107         25,629       1,786       X        28-5284      1786
                                                             169,933      11,842       X      X 28-5284                        11842
WESTERN ASSET 2008 WW DLR GO COM            95766W103          2,493         250       X        28-5284       250
WESTERN ASSET PREMIER BD FD  SHS BEN INT    957664105         42,973       4,671       X        28-5284      4671
                                                             117,337      12,754       X      X 28-5284                        12754
WESTERN ASSET VAR RT STRG FD COM            957667108        327,240      27,000       X      X 28-5284                        27000
WESTERN DIGITAL CORP         COM            958102105      2,021,179      94,802       X        28-5284     93220               1582
                                                             504,431      23,660       X      X 28-5284     23660
                                                               2,494         117       X        28-11135      117
                                                               7,505         352       X        28-4580       352
WESTERN GAS PARTNERS LP      COM UNIT LP IN 958254104          6,600         500       X        28-5284       500
WESTERN REFNG INC            COM            959319104          1,011         100       X      X 28-5284       100
WESTERN UN CO                COM            959802109      2,409,692      97,677       X        28-5284     93484               4193
                                                           3,167,184     128,382       X      X 28-5284    125547               2835
                                                               7,697         312       X        28-11135      312
                                                              62,909       2,550       X        28-4580      2550
                                                              23,017         933       X      X 28-4580       933
WESTPAC BKG CORP             SPONSORED ADR  961214301         35,794         387       X        28-5284       387
                                                              19,793         214       X        28-11135      214
WESTWOOD ONE INC             COM            961815107        148,846     270,629       X      X 28-5284             270629
WEYERHAEUSER CO              COM            962166104        847,332      13,987       X        28-5284     10127               3860
                                                           1,429,446      23,596       X      X 28-5284     20846      250      2500
WHIRLPOOL CORP               COM            963320106        503,333       6,348       X        28-5284      5286               1062
                                                             362,117       4,567       X      X 28-5284      2515               2052
   COLUMN TOTAL                                           12,527,250








                                                                                                                    FILE NO. 28-1235
PAGE 224 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
WHITING PETE CORP NEW        COM            966387102         39,193         550       X      X 28-5284       550
WHITNEY HLDG CORP            COM            966612103         13,022         537       X        28-5284                          537
                                                              62,614       2,582       X      X 28-5284      2582
                                                             521,521      21,506       X        28-11135    21506
WHOLE FOODS MKT INC          COM            966837106      1,193,888      59,605       X        28-5284     40432              19173
                                                           1,555,209      77,644       X      X 28-5284     26975    29500     21169
                                                              28,042       1,400       X        28-4580      1400
                                                               2,003         100       X      X 28-4580       100
WILEY JOHN & SONS INC        CL A           968223206        364,050       9,000       X        28-5284      9000
                                                           1,440,020      35,600       X      X 28-5284     35600
                                                              26,333         651       X        28-11135      651
                                                              81,830       2,023       X      X 28-4580      2023
WILLIAMS COAL SEAM GAS RTY T TR UNIT        969450105         11,375       1,250       X        28-5284      1250
WILLIAMS COS INC DEL         COM            969457100        462,026      19,536       X        28-5284     15296               4240
                                                             554,261      23,436       X      X 28-5284     16331               7105
                                                             317,572      13,428       X        28-11135    13428
WILLIAMS CLAYTON ENERGY INC  COM            969490101         28,212         400       X      X 28-5284       400
WILLIAMS PARTNERS L P        COM UNIT L P   96950F104         25,850       1,000       X      X 28-5284      1000
WILLIAMS PIPELINE PARTNERS L COM UNIT LP IN 96950K103         15,356       1,100       X        28-5284      1100
WILLIAMS SONOMA INC          COM            969904101         40,126       2,480       X        28-5284      2480
WILMINGTON TRUST CORP        COM            971807102      1,336,991      46,375       X        28-5284     46275                100
                                                             819,954      28,441       X      X 28-5284     18341              10100
                                                           1,442,624      50,039       X        28-4580     50039
                                                           3,015,906     104,610       X      X 28-4580    102381               2229
WILSHIRE BANCORP INC         COM            97186T108         24,340       2,000       X        28-5284      2000
WIMM BILL DANN FOODS OJSC    SPONSORED ADR  97263M109          3,550          50       X        28-5284        50
                                                                 568           8       X        28-11135        8
WIND RIVER SYSTEMS INC       COM            973149107          6,500         650       X        28-5284       650
   COLUMN TOTAL                                           13,432,936








                                                                                                                    FILE NO. 28-1235
PAGE 225 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
WINDSTREAM CORP              COM            97381W104      1,750,903     160,046       X        28-5284    142215              17831
                                                           1,313,314     120,047       X      X 28-5284    106466      155     13426
                                                              13,040       1,192       X        28-11135     1192
                                                              13,194       1,206       X      X 28-4580      1206
WINN DIXIE STORES INC        COM NEW        974280307          9,021         649       X        28-5284       649
WINNEBAGO INDS INC           COM            974637100          3,101         240       X        28-5284                          240
                                                              20,672       1,600       X      X 28-5284      1600
WINTHROP RLTY TR             SH BEN INT     976391102        189,333      48,547       X      X 28-5284                        48547
WIRELESS RONIN TECHNOLOGIES  COM            97652A203         13,328       5,600       X        28-5284      5600
WISCONSIN ENERGY CORP        COM            976657106        216,822       4,829       X        28-5284      4129                700
                                                             785,436      17,493       X      X 28-5284     15193               2300
WISDOMTREE TRUST             CHINESE YUAN E 97717W182          9,812         390       X        28-5284       390
WISDOMTREE TRUST             LARGECAP DIVID 97717W307     52,889,052   1,150,012       X        28-5284   1147462               2550
                                                             529,851      11,521       X      X 28-5284      9271               2250
                                                           1,585,965      34,485       X        28-4580     34485
                                                             557,031      12,112       X      X 28-4580     12112
WISDOMTREE TRUST             EMRG MKT HGHYD 97717W315          4,355         100       X      X 28-5284       100
WISDOMTREE TRUST             INDIA ERNGS FD 97717W422         20,307       1,270       X      X 28-5284      1074                196
WISDOMTREE TRUST             MIDCAP DIVI FD 97717W505      1,638,592      36,180       X      X 28-5284     36180
WISDOMTREE TRUST             INTL BAS MATER 97717W752          6,545         248       X        28-5284       248
WISDOMTREE TRUST             INTL SMCAP DIV 97717W760        604,595      13,195       X        28-5284     13195
                                                              16,037         350       X      X 28-5284       350
WISDOMTREE TRUST             INTL DV TOP100 97717W786        254,405       5,006       X        28-5284      5006
WISDOMTREE TRUST             DEFA HG YLD EQ 97717W802         12,060         250       X      X 28-5284       250
WOLVERINE WORLD WIDE INC     COM            978097103         11,246         425       X        28-5284                          425
                                                              56,122       2,121       X        28-11135     2121
   COLUMN TOTAL                                           62,524,139








                                                                                                                    FILE NO. 28-1235
PAGE 226 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
WOODWARD GOVERNOR CO         COM            980745103         18,305         519       X        28-5284        29                490
                                                             861,999      24,440       X      X 28-5284     22440               2000
WORLD ACCEP CORP DEL         COM            981419104          1,080          30       X        28-5284        30
WORLD WRESTLING ENTMT INC    CL A           98156Q108         15,924       1,030       X      X 28-5284       330                700
WORTHINGTON INDS INC         COM            981811102        249,080      16,672       X        28-5284      6602              10070
                                                             786,711      52,658       X      X 28-5284     52158                500
WRIGHT EXPRESS CORP          COM            98233Q105          1,045          35       X        28-5284        35
WRIGHT MED GROUP INC         COM            98235T107         51,748       1,700       X      X 28-5284      1700
WRIGLEY WM JR CO             COM            982526105      4,566,691      57,515       X        28-5284     57508                  7
                                                           6,552,167      82,521       X      X 28-5284     79559      650      2312
                                                                 953          12       X        28-11135       12
                                                             746,995       9,408       X        28-4580      9408
                                                              31,760         400       X      X 28-4580       400
WYETH                        COM            983024100     92,588,595   2,506,459       X        28-5284   2427591      690     78178
                                                          99,341,745   2,689,273       X      X 28-5284   2417736    16496    255041
                                                             641,759      17,373       X        28-11135    17373
                                                           1,944,374      52,636       X        28-4580     52413                223
                                                           2,938,171      79,539       X      X 28-4580     77246               2293
WYNDHAM WORLDWIDE CORP       COM            98310W108         28,922       1,841       X        28-5284      1841
                                                             138,342       8,806       X      X 28-5284      1866               6940
                                                               1,320          84       X        28-11135       84
WYNN RESORTS LTD             COM            983134107          1,796          22       X        28-5284        22
                                                               8,164         100       X      X 28-5284       100
XTO ENERGY INC               COM            98385X106     40,377,685     867,964       X        28-5284    825246              42718
                                                          12,706,938     273,150       X      X 28-5284    252274     6097     14779
                                                             215,202       4,626       X        28-11135     4626
                                                             671,842      14,442       X        28-4580     14442
                                                             141,514       3,042       X      X 28-4580      3042
X-RITE INC                   COM            983857103          6,160       1,750       X      X 28-5284                         1750
   COLUMN TOTAL                                          265,636,987








                                                                                                                    FILE NO. 28-1235
PAGE 227 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
XCEL ENERGY INC              COM            98389B100      3,331,473     166,657       X        28-5284    139322              27335
                                                           4,046,676     202,435       X      X 28-5284    156257              46178
                                                              79,960       4,000       X      X 28-4580      4000
XILINX INC                   COM            983919101        337,234      14,381       X        28-5284     13381               1000
                                                              25,748       1,098       X      X 28-5284      1098
                                                             598,116      25,506       X        28-11135    25506
XEROX CORP                   COM            984121103        127,199      11,032       X        28-5284      7952               3080
                                                             129,320      11,216       X      X 28-5284     10466                750
                                                             561,303      48,682       X        28-11135    48682
                                                              57,834       5,016       X        28-4580      5016
YRC WORLDWIDE INC            COM            984249102         28,704       2,400       X        28-5284      2400
                                                                 454          38       X        28-11135       38
YADKIN VALLEY FINANCIAL CORP COM            984314104        401,952      23,700       X        28-1500     23700
YAHOO INC                    COM            984332106      1,411,248      81,575       X        28-5284     44167              37408
                                                             443,745      25,650       X      X 28-5284     17820               7830
                                                               1,557          90       X        28-11135       90
YAMANA GOLD INC              COM            98462Y100            516          62       X        28-5284        62
                                                              16,660       2,000       X      X 28-5284      2000
                                                             104,875      12,590       X        28-11135    12590
YINGLI GREEN ENERGY HLDG CO  ADR            98584B103          6,612         600       X      X 28-5284       600
YORK WTR CO                  COM            987184108          5,571         450       X        28-5284       450
                                                               3,714         300       X      X 28-5284       300
YOUBET COM INC               COM            987413101      3,677,131   2,518,583       X      X 28-5284            2518583
YUM BRANDS INC               COM            988498101      8,652,933     265,346       X        28-5284    257443               7903
                                                           4,897,924     150,197       X      X 28-5284    135424              14773
                                                                 783          24       X        28-11135       24
                                                              39,719       1,218       X        28-4580      1218
                                                              61,144       1,875       X      X 28-4580      1875
ZALE CORP NEW                COM            988858106          7,750         310       X        28-5284                          310
ZEBRA TECHNOLOGIES CORP      CL A           989207105         47,261       1,697       X        28-5284      1697
   COLUMN TOTAL                                           29,105,116








                                                                                                                    FILE NO. 28-1235
PAGE 228 OF 256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

                                                                                    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         12,091         330       X        28-5284                          330
                                                              16,048         438       X        28-11135      438
ZILOG INC                    COM PAR $0.01  989524301      1,094,315     340,908       X      X 28-5284             340908
ZIMMER HLDGS INC             COM            98956P102     16,184,353     250,687       X        28-5284    246042               4645
                                                          16,383,520     253,772       X      X 28-5284    226949      857     25966
                                                               7,102         110       X        28-11135      110
                                                             221,441       3,430       X        28-4580      3430
                                                             613,126       9,497       X      X 28-4580      9346      151
ZIONS BANCORPORATION         COM            989701107         28,638         740       X        28-5284       540                200
                                                              70,434       1,820       X      X 28-5284       100               1720
ZIPREALTY INC                COM            98974V107        162,343      39,790       X        28-5284     39790
ZORAN CORP                   COM            98975F101            343          42       X        28-11135       42
ZOLTEK COS INC               COM            98975W104         17,110       1,000       X        28-5284      1000
ZOOM TECHNOLOGIES INC DEL    COM NEW        98976E301         13,117      11,116       X      X 28-5284              11116
ZWEIG FD                     COM            989834106         19,767       5,537       X      X 28-5284       405               5132
ZWEIG TOTAL RETURN FD INC    COM            989837109         53,101      14,469       X      X 28-5284      9256               5213
ZOLL MED CORP                COM            989922109         45,808       1,400       X        28-5284      1400
                                                               1,571          48       X        28-11135       48
   COLUMN TOTAL                                           34,944,228







                                                                                                                    FILE NO. 28-1235
PAGE   229 OF  256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
ACCENTURE LTD BERMUDA        CL A           G1150G111     10,435,826     274,627       X        28-12474                      274627
                                                              26,866         707       X        28-12474                         707
INGERSOLL-RAND COMPANY LTD   CL A           G4776G101        201,982       6,480       X        28-12474                        6480
NABORS INDUSTRIES LTD        SHS            G6359F103      4,102,704     164,635       X        28-12474                      164635
SEAGATE TECHNOLOGY           SHS            G7945J104        128,714      10,620       X        28-12474                       10620
TRANSOCEAN INC NEW           SHS            G90073100     12,932,891     117,743       X        28-12474                      117743
                                                              21,529         196       X        28-12474                         196
TYCO INTL LTD BERMUDA        SHS            G9143X208      1,197,089      34,183       X        28-12474                       34183
WEATHERFORD INTERNATIONAL LT COM            G95089101      5,724,529     227,706       X        28-12474                      227706
                                                              16,592         660       X        28-12474                         660
WILLIS GROUP HOLDINGS LTD    SHS            G96655108          9,678         300       X        28-12474                         300
ALCON INC                    COM SHS        H01301102          8,722          54       X        28-12474                          54
FLEXTRONICS INTL LTD         ORD            Y2573F102      5,823,569     822,538       X        28-12474                      822538
ABB LTD                      SPONSORED ADR  000375204      5,791,870     298,550       X        28-12474                      298550
                                                              15,889         819       X        28-12474                         819
AFLAC INC                    COM            001055102        241,933       4,118       X        28-12474                        4118
AMB PROPERTY CORP            COM            00163T109        421,743       9,310       X        28-12474                        9310
AT&T INC                     COM            00206R102     15,800,933     565,936       X        28-12474                      565936
                                                              10,079         361       X        28-12474                         361
ABBOTT LABS                  COM            002824100         23,665         411       X        28-12474                         411
ABERCROMBIE & FITCH CO       CL A           002896207          3,945         100       X        28-12474                         100
AETNA INC NEW                COM            00817Y108          5,055         140       X        28-12474                         140
AIR PRODS & CHEMS INC        COM            009158106        136,980       2,000       X        28-12474                        2000
AKAMAI TECHNOLOGIES INC      COM            00971T101      2,768,356     158,736       X        28-12474                      158736
   COLUMN TOTAL                                           65,851,139







                                                                                                                    FILE NO. 28-1235
PAGE   230 OF  256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
ALCOA INC                    COM            013817101      1,466,390      64,942       X        28-12474                       64942
ALEXANDRIA REAL ESTATE EQ IN COM            015271109        972,000       8,640       X        28-12474                        8640
ALLEGHENY TECHNOLOGIES INC   COM            01741R102          2,955         100       X        28-12474                         100
ALLERGAN INC                 COM            018490102      2,589,987      50,291       X        28-12474                       50291
                                                              16,429         319       X        28-12474                         319
ALLSTATE CORP                COM            020002101        636,733      13,806       X        28-12474                       13806
ALTRIA GROUP INC             COM            02209S103      2,040,941     102,870       X        28-12474                      102870
AMERICA MOVIL SAB DE CV      SPON ADR L SHS 02364W105          4,636         100       X        28-12474                         100
AMERICAN CAMPUS CMNTYS INC   COM            024835100        384,131      11,338       X        28-12474                       11338
AMERICAN ELEC PWR INC        COM            025537101        225,402       6,087       X        28-12474                        6087
AMERICAN EXPRESS CO          COM            025816109      2,034,391      57,420       X        28-12474                       57420
AMERICAN INTL GROUP INC      COM            026874107      2,328,090     699,126       X        28-12474                      699126
AMERICAN TOWER CORP          CL A           029912201      6,828,005     189,825       X        28-12474                      189825
                                                              13,345         371       X        28-12474                         371
AMGEN INC                    COM            031162100     10,420,318     175,811       X        28-12474                      175811
                                                               6,105         103       X        28-12474                         103
AMPHENOL CORP NEW            CL A           032095101     10,927,754     272,241       X        28-12474                      272241
                                                              21,515         536       X        28-12474                         536
ANADARKO PETE CORP           COM            032511107          5,724         118       X        28-12474                         118
ANNALY CAP MGMT INC          COM            035710409        431,880      32,110       X        28-12474                       32110
ANTHRACITE CAP INC           COM            037023108        282,740      52,750       X        28-12474                       52750
APACHE CORP                  COM            037411105         16,163         155       X        28-12474                         155
APARTMENT INVT & MGMT CO     CL A           03748R101         10,086         288       X        28-12474                         288
   COLUMN TOTAL                                           41,665,720







                                                                                                                    FILE NO. 28-1235
PAGE   231 OF  256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
APPLE INC                    COM            037833100     10,049,135      88,414       X        28-12474                       88414
                                                              27,733         244       X        28-12474                         244
ARCHER DANIELS MIDLAND CO    COM            039483102            789          36       X        28-12474                          36
ASHFORD HOSPITALITY TR INC   COM SHS        044103109        138,510      34,200       X        28-12474                       34200
ASSURANT INC                 COM            04621X108        244,805       4,451       X        28-12474                        4451
ATMOS ENERGY CORP            COM            049560105        126,259       4,743       X        28-12474                        4743
AUTODESK INC                 COM            052769106         11,743         350       X        28-12474                         350
AVERY DENNISON CORP          COM            053611109      3,426,606      77,037       X        28-12474                       77037
BB&T CORP                    COM            054937107          4,158         110       X        28-12474                         110
BJ SVCS CO                   COM            055482103        745,190      38,954       X        28-12474                       38954
BP PLC                       SPONSORED ADR  055622104      9,081,272     181,010       X        28-12474                      181010
BRE PROPERTIES INC           CL A           05564E106         40,425         825       X        28-12474                         825
BT GROUP PLC                 ADR            05577E101            667          23       X        28-12474                          23
BANK OF AMERICA CORPORATION  COM            060505104     26,675,075     762,145       X        28-12474                      762145
                                                               8,575         245       X        28-12474                         245
BANK OF NEW YORK MELLON CORP COM            064058100      2,546,616      78,165       X        28-12474                       78165
BARD C R INC                 COM            067383109      8,513,159      89,735       X        28-12474                       89735
                                                               8,823          93       X        28-12474                          93
BAXTER INTL INC              COM            071813109     15,905,365     242,349       X        28-12474                      242349
                                                              29,665         452       X        28-12474                         452
BECTON DICKINSON & CO        COM            075887109      8,528,187     106,257       X        28-12474                      106257
                                                              19,824         247       X        28-12474                         247
BEST BUY INC                 COM            086516101      2,049,188      54,645       X        28-12474                       54645
BHP BILLITON LTD             SPONSORED ADR  088606108            780          15       X        28-12474                          15
   COLUMN TOTAL                                           88,182,549







                                                                                                                    FILE NO. 28-1235
PAGE   232 OF  256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
BLACK & DECKER CORP          COM            091797100        241,238       3,971       X        28-12474                        3971
BOEING CO                    COM            097023105        141,368       2,465       X        28-12474                        2465
BOSTON PROPERTIES INC        COM            101121101      2,779,361      29,675       X        28-12474                       29675
BOSTON SCIENTIFIC CORP       COM            101137107      4,516,378     368,083       X        28-12474                      368083
BRANDYWINE RLTY TR           SH BEN INT NEW 105368203        313,146      19,535       X        28-12474                       19535
BRINKER INTL INC             COM            109641100      1,612,515      90,135       X        28-12474                       90135
BRISTOL MYERS SQUIBB CO      COM            110122108        443,521      21,272       X        28-12474                       21272
BROOKFIELD PPTYS CORP        COM            112900105        297,871      18,805       X        28-12474                       18805
CBL & ASSOC PPTYS INC        COM            124830100      1,394,656      69,455       X        28-12474                       69455
CBS CORP NEW                 CL B           124857202        192,631      13,212       X        28-12474                       13212
CIT GROUP INC                COM            125581108          1,155         166       X        28-12474                         166
CVS CAREMARK CORPORATION     COM            126650100      1,250,974      37,165       X        28-12474                       37165
CA INC                       COM            12673P105            220          11       X        28-12474                          11
CAMDEN PPTY TR               SH BEN INT     133131102        235,262       5,130       X        28-12474                        5130
CAPITAL ONE FINL CORP        COM            14040H105     11,305,527     221,677       X        28-12474                      221677
CAPITAL TRUST INC MD         CL A NEW       14052H506        119,350       7,700       X        28-12474                        7700
CARNIVAL CORP                PAIRED CTF     143658300          1,944          55       X        28-12474                          55
CATERPILLAR INC DEL          COM            149123101        461,304       7,740       X        28-12474                        7740
CELANESE CORP DEL            COM SER A      150870103        920,695      32,988       X        28-12474                       32988
CEPHALON INC                 COM            156708109        875,327      11,296       X        28-12474                       11296
CHEVRON CORP NEW             COM            166764100      4,472,808      54,229       X        28-12474                       54229
   COLUMN TOTAL                                           31,577,251







                                                                                                                    FILE NO. 28-1235
PAGE   233 OF  256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/08

                                                                                    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     15,787,813     287,574       X        28-12474                      287574
                                                              12,298         224       X        28-12474                         224
CINCINNATI FINL CORP         COM            172062101        273,223       9,607       X        28-12474                        9607
CIRCUIT CITY STORE INC       COM            172737108      1,304,819   1,716,867       X        28-12474                     1716867
CISCO SYS INC                COM            17275R102     25,074,244   1,111,447       X        28-12474                     1111447
                                                              48,414       2,146       X        28-12474                        2146
CITIGROUP INC                COM            172967101     13,947,087     680,014       X        28-12474                      680014
COCA COLA CO                 COM            191216100     12,177,735     230,290       X        28-12474                      230290
                                                              29,824         564       X        28-12474                         564
COGNIZANT TECHNOLOGY SOLUTIO CL A           192446102        977,923      42,835       X        28-12474                       42835
COLDWATER CREEK INC          COM            193068103      1,056,333     182,441       X        28-12474                      182441
COLGATE PALMOLIVE CO         COM            194162103     17,350,468     230,265       X        28-12474                      230265
                                                              36,319         482       X        28-12474                         482
COLONIAL PPTYS TR            COM SH BEN INT 195872106        158,304       8,470       X        28-12474                        8470
COMCAST CORP NEW             CL A           20030N101      2,080,329     105,977       X        28-12474                      105977
CONAGRA FOODS INC            COM            205887102         10,800         555       X        28-12474                         555
CONOCOPHILLIPS               COM            20825C104      3,801,236      51,894       X        28-12474                       51894
CONSOLIDATED EDISON INC      COM            209115104        193,793       4,511       X        28-12474                        4511
CONSTELLATION ENERGY GROUP I COM            210371100         26,609       1,095       X        28-12474                        1095
CORNING INC                  COM            219350105      1,316,982      84,206       X        28-12474                       84206
                                                               7,273         465       X        28-12474                         465
CORPORATE OFFICE PPTYS TR    SH BEN INT     22002T108        703,301      17,430       X        28-12474                       17430
COVANCE INC                  COM            222816100         17,682         200       X        28-12474                         200
COVENTRY HEALTH CARE INC     COM            222862104      5,463,518     167,850       X        28-12474                      167850
   COLUMN TOTAL                                          101,856,327







                                                                                                                    FILE NO. 28-1235
PAGE   234 OF  256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
CULLEN FROST BANKERS INC     COM            229899109      3,688,680      61,478       X        28-12474                       61478
DANAHER CORP DEL             COM            235851102        976,597      14,072       X        28-12474                       14072
DEERE & CO                   COM            244199105            842          17       X        28-12474                          17
DELL INC                     COM            24702R101      2,641,744     160,300       X        28-12474                      160300
DENTSPLY INTL INC NEW        COM            249030107      1,926,328      51,314       X        28-12474                       51314
                                                              12,013         320       X        28-12474                         320
DEUTSCHE TELEKOM AG          SPONSORED ADR  251566105          3,168         208       X        28-12474                         208
DEVELOPERS DIVERSIFIED RLTY  COM            251591103        786,546      24,820       X        28-12474                       24820
DEVON ENERGY CORP NEW        COM            25179M103      8,996,150      98,642       X        28-12474                       98642
                                                              16,142         177       X        28-12474                         177
DIAMONDS TR                  UNIT SER 1     252787106         23,948         221       X        28-12474                         221
DICKS SPORTING GOODS INC     COM            253393102            607          31       X        28-12474                          31
DIGITAL RLTY TR INC          COM            253868103        732,375      15,500       X        28-12474                       15500
DIRECTV GROUP INC            COM            25459L106        623,346      23,810       X        28-12474                       23810
DISNEY WALT CO               COM DISNEY     254687106      9,732,075     317,109       X        28-12474                      317109
                                                               7,089         231       X        28-12474                         231
DISH NETWORK CORP            CL A           25470M109        809,445      38,545       X        28-12474                       38545
DOLBY LABORATORIES INC       COM            25659T107      2,082,016      59,165       X        28-12474                       59165
                                                              13,337         379       X        28-12474                         379
DOMINION RES INC VA NEW      COM            25746U109        270,241       6,317       X        28-12474                        6317
DOUGLAS EMMETT INC           COM            25960P109        166,796       7,230       X        28-12474                        7230
DOVER CORP                   COM            260003108      3,110,753      76,714       X        28-12474                       76714
DOW CHEM CO                  COM            260543103         11,123         350       X        28-12474                         350
DU PONT E I DE NEMOURS & CO  COM            263534109      1,716,538      42,594       X        28-12474                       42594
   COLUMN TOTAL                                           38,347,899







                                                                                                                    FILE NO. 28-1235
PAGE   235 OF  256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
DUKE ENERGY CORP NEW         COM            26441C105          2,893         166       X        28-12474                         166
DUKE REALTY CORP             COM NEW        264411505        261,285      10,630       X        28-12474                       10630
E M C CORP MASS              COM            268648102      2,185,319     182,719       X        28-12474                      182719
ENI S P A                    SPONSORED ADR  26874R108          3,177          60       X        28-12474                          60
EOG RES INC                  COM            26875P101         35,784         400       X        28-12474                         400
EASTGROUP PPTY INC           COM            277276101        359,681       7,410       X        28-12474                        7410
EATON CORP                   COM            278058102      2,275,964      40,512       X        28-12474                       40512
EBAY INC                     COM            278642103      3,040,166     135,843       X        28-12474                      135843
EMERSON ELEC CO              COM            291011104     10,322,644     253,068       X        28-12474                      253068
                                                              19,742         484       X        28-12474                         484
ENBRIDGE ENERGY PARTNERS L P COM            29250R106          4,973         125       X        28-12474                         125
ENTERGY CORP NEW             COM            29364G103      2,204,689      24,769       X        28-12474                       24769
ENTERTAINMENT PPTYS TR       COM SH BEN INT 29380T105        849,254      15,520       X        28-12474                       15520
EQUITY ONE                   COM            294752100         24,793       1,210       X        28-12474                        1210
EQUITY RESIDENTIAL           SH BEN INT     29476L107        656,158      14,775       X        28-12474                       14775
ESSEX PPTY TR INC            COM            297178105        475,687       4,020       X        28-12474                        4020
EXELON CORP                  COM            30161N101         45,713         730       X        28-12474                         730
EXXON MOBIL CORP             COM            30231G102     49,354,561     635,521       X        28-12474                      635521
                                                              43,412         559       X        28-12474                         559
FACTSET RESH SYS INC         COM            303075105      7,642,921     146,276       X        28-12474                      146276
                                                               7,890         151       X        28-12474                         151
FAIRPOINT COMMUNICATIONS INC COM            305560104            156          18       X        28-12474                          18
FEDERAL HOME LN MTG CORP     COM            313400301            599         350       X        28-12474                         350
   COLUMN TOTAL                                           79,817,461







                                                                                                                    FILE NO. 28-1235
PAGE   236 OF  256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
FEDERAL NATL MTG ASSN        COM            313586109            497         325       X        28-12474                         325
FEDERAL REALTY INVT TR       SH BEN INT NEW 313747206        596,632       6,970       X        28-12474                        6970
FEDEX CORP                   COM            31428X106      2,626,183      33,226       X        28-12474                       33226
FELCOR LODGING TR INC        COM            31430F101        121,720      17,000       X        28-12474                       17000
FIDELITY NATIONAL FINANCIAL  CL A           31620R105      1,988,278     135,257       X        28-12474                      135257
FIRST INDUSTRIAL REALTY TRUS COM            32054K103        197,605       6,890       X        28-12474                        6890
FIRSTENERGY CORP             COM            337932107     11,939,494     178,228       X        28-12474                      178228
                                                               9,044         135       X        28-12474                         135
FORTUNE BRANDS INC           COM            349631101         15,602         272       X        28-12474                         272
FRANCE TELECOM               SPONSORED ADR  35177Q105          1,821          65       X        28-12474                          65
FRANKLIN RES INC             COM            354613101      8,119,064      92,126       X        28-12474                       92126
                                                               5,552          63       X        28-12474                          63
FREEPORT-MCMORAN COPPER & GO COM            35671D857        146,389       2,575       X        28-12474                        2575
FRONTIER COMMUNICATIONS CORP COM            35906A108          2,047         178       X        28-12474                         178
GALLAGHER ARTHUR J & CO      COM            363576109          1,232          48       X        28-12474                          48
GAMESTOP CORP NEW            CL A           36467W109      2,029,748      59,332       X        28-12474                       59332
                                                              12,658         370       X        28-12474                         370
GAP INC DEL                  COM            364760108        312,217      17,560       X        28-12474                       17560
GENERAL DYNAMICS CORP        COM            369550108     10,563,366     143,485       X        28-12474                      143485
                                                              21,276         289       X        28-12474                         289
GENERAL ELECTRIC CO          COM            369604103     15,391,214     603,577       X        28-12474                      603577
GENERAL GROWTH PPTYS INC     COM            370021107        602,943      39,930       X        28-12474                       39930
GENERAL MLS INC              COM            370334104      1,914,814      27,864       X        28-12474                       27864
   COLUMN TOTAL                                           56,619,396







                                                                                                                    FILE NO. 28-1235
PAGE   237 OF  256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
GENZYME CORP                 COM            372917104      5,584,322      69,036       X        28-12474                       69036
                                                              21,031         260       X        28-12474                         260
GETTY RLTY CORP NEW          COM            374297109        301,290      13,590       X        28-12474                       13590
GILEAD SCIENCES INC          COM            375558103      2,002,564      43,887       X        28-12474                       43887
                                                              12,594         276       X        28-12474                         276
GILDAN ACTIVEWEAR INC        COM            375916103      2,554,139     112,122       X        28-12474                      112122
GLADSTONE COML CORP          COM            376536108        155,296      10,170       X        28-12474                       10170
GLAXOSMITHKLINE PLC          SPONSORED ADR  37733W105          3,303          76       X        28-12474                          76
GLIMCHER RLTY TR             SH BEN INT     379302102        163,386      15,650       X        28-12474                       15650
GOLDMAN SACHS GROUP INC      COM            38141G104     11,245,056      87,852       X        28-12474                       87852
                                                               9,856          77       X        28-12474                          77
GOODRICH CORP                COM            382388106        836,285      20,103       X        28-12474                       20103
GOOGLE INC                   CL A           38259P508        644,348       1,595       X        28-12474                        1595
GRAMERCY CAP CORP            COM            384871109        166,638      64,339       X        28-12474                       64339
HCC INS HLDGS INC            COM            404132102      1,364,040      50,520       X        28-12474                       50520
HCP INC                      COM            40414L109      1,489,224      37,110       X        28-12474                       37110
HRPT PPTYS TR                COM SH BEN INT 40426W101        345,258      50,110       X        28-12474                       50110
HSBC HLDGS PLC               SPON ADR NEW   404280406          2,021          25       X        28-12474                          25
HALLIBURTON CO               COM            406216101      1,483,592      45,804       X        28-12474                       45804
HANSEN NAT CORP              COM            411310105      1,136,644      37,575       X        28-12474                       37575
HARTFORD FINL SVCS GROUP INC COM            416515104      2,622,253      63,973       X        28-12474                       63973
HASBRO INC                   COM            418056107      9,372,247     269,938       X        28-12474                      269938
                                                              17,985         518       X        28-12474                         518
HEALTH MGMT ASSOC INC NEW    CL A           421933102      1,531,758     368,211       X        28-12474                      368211
   COLUMN TOTAL                                           43,065,130







                                                                                                                    FILE NO. 28-1235
PAGE  238 OF  256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.          AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
HEALTHCARE RLTY TR           COM            421946104        366,999      12,590       X        28-12474                       12590
HEALTH CARE REIT INC         COM            42217K106        657,391      12,350       X        28-12474                       12350
HEINZ H J CO                 COM            423074103      1,805,016      36,122       X        28-12474                       36122
HERSHA HOSPITALITY TR        SH BEN INT A   427825104        138,198      18,575       X        28-12474                       18575
HEWLETT PACKARD CO           COM            428236103     22,402,771     484,489       X        28-12474                      484489
                                                              42,541         920       X        28-12474                         920
HOME DEPOT INC               COM            437076102      7,347,582     283,800       X        28-12474                      283800
HOME PROPERTIES INC          COM            437306103         22,021         380       X        28-12474                         380
HONEYWELL INTL INC           COM            438516106      9,182,135     220,990       X        28-12474                      220990
                                                              16,745         403       X        28-12474                         403
HOSPITALITY PPTYS TR         COM SH BEN INT 44106M102        429,484      20,930       X        28-12474                       20930
HOST HOTELS & RESORTS INC    COM            44107P104        704,317      52,996       X        28-12474                       52996
HUDSON CITY BANCORP          COM            443683107      9,291,069     503,581       X        28-12474                      503581
                                                               6,679         362       X        28-12474                         362
ITT CORP NEW                 COM            450911102     12,150,118     218,488       X        28-12474                      218488
                                                              20,020         360       X        28-12474                         360
ING GROEP N V                SPONSORED ADR  456837103          1,284          60       X        28-12474                          60
INTEL CORP                   COM            458140100     14,297,826     763,365       X        28-12474                      763365
                                                              31,504       1,682       X        28-12474                        1682
INTERNATIONAL BUSINESS MACHS COM            459200101     14,594,971     124,786       X        28-12474                      124786
                                                              40,702         348       X        28-12474                         348
INTL PAPER CO                COM            460146103      6,629,483     253,227       X        28-12474                      253227
                                                               5,419         207       X        28-12474                         207
INTUIT                       COM            461202103          7,397         234       X        28-12474                         234
INVITROGEN CORP              COM            46185R100      1,916,762      50,708       X        28-12474                       50708
                                                              12,172         322       X        28-12474                         322
   COLUMN TOTAL                                          102,120,606







                                                                                                                    FILE NO. 28-1235
PAGE  239 OF  256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.          AS OF 09/30/08

                                                                                    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&P 500 INDEX  464287200        135,511       1,160       X        28-12474                        1160
ISHARES TR                   RUSSELL MCP VL 464287473      2,626,325      66,981       X        28-12474                       66981
ISHARES TR                   RUSSELL MIDCAP 464287499         68,028         828       X        28-12474                         828
ISHARES TR                   RUSSELL 2000   464287655        139,400       2,050       X        28-12474                        2050
JPMORGAN & CHASE & CO        COM            46625H100     22,080,414     472,814       X        28-12474                      472814
                                                              17,886         383       X        28-12474                         383
JABIL CIRCUIT INC            COM            466313103      3,373,163     353,581       X        28-12474                      353581
JACOBS ENGR GROUP INC DEL    COM            469814107      1,184,284      21,806       X        28-12474                       21806
                                                               7,495         138       X        28-12474                         138
JOHNSON & JOHNSON            COM            478160104     22,365,662     322,830       X        28-12474                      322830
                                                              37,550         542       X        28-12474                         542
KBR INC                      COM            48242W106             15           1       X        28-12474                           1
KEYCORP NEW                  COM            493267108          5,504         461       X        28-12474                         461
KILROY RLTY CORP             COM            49427F108         18,638         390       X        28-12474                         390
KIMBERLY CLARK CORP          COM            494368103        393,319       6,066       X        28-12474                        6066
KIMCO REALTY CORP            COM            49446R109      1,301,581      35,235       X        28-12474                       35235
KINETIC CONCEPTS INC         COM NEW        49460W208      5,157,493     180,395       X        28-12474                      180395
KOHLS CORP                   COM            500255104      5,652,449     122,666       X        28-12474                      122666
KRAFT FOODS INC              CL A           50075N104        645,535      19,711       X        28-12474                       19711
LASALLE HOTEL PPTYS          COM SH BEN INT 517942108        238,214      10,215       X        28-12474                       10215
LEGG MASON INC               COM            524901105          1,865          49       X        28-12474                          49
LEXINGTON REALTY TRUST       COM            529043101        572,393      33,240       X        28-12474                       33240
LIBERTY PPTY TR              SH BEN INT     531172104        294,047       7,810       X        28-12474                        7810
   COLUMN TOTAL                                           66,316,771







                                                                                                                    FILE NO. 28-1235
PAGE  240 OF  256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.          AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
LILLY ELI & CO               COM            532457108      2,989,681      67,901       X        28-12474                       67901
LINCOLN NATL CORP IND        COM            534187109        503,788      11,768       X        28-12474                       11768
LLOYDS TSB GROUP PLC         SPONSORED ADR  539439109          1,573          94       X        28-12474                          94
LOCKHEED MARTIN CORP         COM            539830109     11,406,119     104,004       X        28-12474                      104004
                                                              23,579         215       X        28-12474                         215
LOWES COS INC                COM            548661107      2,276,088      96,078       X        28-12474                       96078
LUBRIZOL CORP                COM            549271104        199,177       4,617       X        28-12474                        4617
MACERICH CO                  COM            554382101      1,124,377      17,665       X        28-12474                       17665
MACK CALI RLTY CORP          COM            554489104        534,469      15,780       X        28-12474                       15780
MACYS INC                    COM            55616P104          1,169          65       X        28-12474                          65
MARATHON OIL CORP            COM            565849106        156,769       3,932       X        28-12474                        3932
MASCO CORP                   COM            574599106      3,332,857     185,778       X        28-12474                      185778
MASTERCARD INC               CL A           57636Q104     10,340,290      58,311       X        28-12474                       58311
                                                              20,216         114       X        28-12474                         114
MATTEL INC                   COM            577081102        304,317      16,869       X        28-12474                       16869
MCCORMICK & CO INC           COM NON VTG    579780206        184,560       4,800       X        28-12474                        4800
MCDONALDS CORP               COM            580135101     18,315,645     296,850       X        28-12474                      296850
                                                              28,937         469       X        28-12474                         469
MCKESSON CORP                COM            58155Q103      7,254,557     134,818       X        28-12474                      134818
                                                               5,704         106       X        28-12474                         106
MEDCO HEALTH SOLUTIONS INC   COM            58405U102      5,596,695     124,371       X        28-12474                      124371
                                                               5,805         129       X        28-12474                         129
MEDICAL PPTYS TRUST INC      COM            58463J304        482,761      42,534       X        28-12474                       42534
MEDTRONIC INC                COM            585055106          4,309          86       X        28-12474                          86
   COLUMN TOTAL                                           65,093,442







                                                                                                                    FILE NO. 28-1235
PAGE  241 OF  256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.          AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
MERCK & CO INC               COM            589331107      8,009,013     253,771       X        28-12474                      253771
                                                              14,454         458       X        28-12474                         458
MERRILL LYNCH & CO INC       COM            590188108      3,302,257     130,524       X        28-12474                      130524
METLIFE INC                  COM            59156R108     12,072,256     215,576       X        28-12474                      215576
                                                               8,960         160       X        28-12474                         160
MICROSOFT CORP               COM            594918104     34,482,012   1,291,945       X        28-12474                     1291945
                                                              68,246       2,557       X        28-12474                        2557
MICROCHIP TECHNOLOGY INC     COM            595017104        758,705      25,780       X        28-12474                       25780
MID-AMER APT CMNTYS INC      COM            59522J103        162,408       3,305       X        28-12474                        3305
MONSANTO CO NEW              COM            61166W101      7,223,956      72,984       X        28-12474                       72984
                                                              19,103         193       X        28-12474                         193
MORGAN STANLEY               COM NEW        617446448      3,569,117     155,179       X        28-12474                      155179
MOTOROLA INC                 COM            620076109      2,347,725     328,813       X        28-12474                      328813
NASDAQ OMX GROUP INC         COM            631103108            856          28       X        28-12474                          28
NATIONAL OILWELL VARCO INC   COM            637071101      1,508,909      30,040       X        28-12474                       30040
                                                               9,493         189       X        28-12474                         189
NATIONAL RETAIL PROPERTIES I COM            637417106        484,030      20,210       X        28-12474                       20210
NATIONWIDE HEALTH PPTYS INC  COM            638620104        312,486       8,685       X        28-12474                        8685
NEW YORK CMNTY BANCORP INC   COM            649445103          1,427          85       X        28-12474                          85
NEW YORK TIMES CO            CL A           650111107        190,014      13,297       X        28-12474                       13297
NEWCASTLE INVT CORP          COM            65105M108        187,198      29,480       X        28-12474                       29480
NEWELL RUBBERMAID INC        COM            651229106        356,436      20,651       X        28-12474                       20651
NEWS CORP                    CL A           65248E104      4,356,339     363,331       X        28-12474                      363331
NEWS CORP                    CL B           65248E203         26,147       2,152       X        28-12474                        2152
   COLUMN TOTAL                                           79,471,547







                                                                                                                    FILE NO. 28-1235
PAGE  242 OF  256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.          AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
NIKE INC                     CL B           654106103     16,465,094     246,115       X        28-12474                      246115
                                                              33,651         503       X        28-12474                         503
NOBLE ENERGY INC             COM            655044105         19,457         350       X        28-12474                         350
NORFOLK SOUTHERN CORP        COM            655844108      7,733,129     116,797       X        28-12474                      116797
                                                              16,486         249       X        28-12474                         249
NORTHERN TR CORP             COM            665859104     15,483,290     214,450       X        28-12474                      214450
                                                              21,877         303       X        28-12474                         303
NORTHROP GRUMMAN CORP        COM            666807102        296,343       4,895       X        28-12474                        4895
NORTHSTAR RLTY FIN CORP      COM            66704R100        185,613      23,950       X        28-12474                       23950
NOVARTIS A G                 SPONSORED ADR  66987V109      1,829,162      34,617       X        28-12474                       34617
NVIDIA CORP                  COM            67066G104            653          61       X        28-12474                          61
OCCIDENTAL PETE CORP DEL     COM            674599105     12,999,223     184,517       X        28-12474                      184517
                                                              22,826         324       X        28-12474                         324
OLD REP INTL CORP            COM            680223104        198,199      15,545       X        28-12474                       15545
OMNICARE INC                 COM            681904108      4,616,262     160,454       X        28-12474                      160454
OMNICOM GROUP INC            COM            681919106     10,815,502     280,485       X        28-12474                      280485
                                                              22,288         578       X        28-12474                         578
OMEGA HEALTHCARE INVS INC    COM            681936100        462,600      23,530       X        28-12474                       23530
ORACLE CORP                  COM            68389X105     19,763,133     973,074       X        28-12474                      973074
                                                              40,458       1,992       X        28-12474                        1992
OSHKOSH CORP                 COM            688239201      5,341,539     405,892       X        28-12474                      405892
PNC FINL SVCS GROUP INC      COM            693475105        345,413       4,624       X        28-12474                        4624
PNM RES INC                  COM            69349H107        532,122      51,965       X        28-12474                       51965
PPG INDS INC                 COM            693506107        138,452       2,374       X        28-12474                        2374
PANERA BREAD CO              CL A           69840W108         37,157         730       X        28-12474                         730
   COLUMN TOTAL                                           97,419,929







                                                                                                                    FILE NO. 28-1235
PAGE  243 OF  256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.          AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
PARKER HANNIFIN CORP         COM            701094104             53           1       X        28-12474                           1
PATTERSON UTI ENERGY INC     COM            703481101      1,421,080      70,983       X        28-12474                       70983
PENNSYLVANIA RL ESTATE INVT  SH BEN INT     709102107        168,519       8,940       X        28-12474                        8940
PEPSIAMERICAS INC            COM            71343P200        307,257      14,829       X        28-12474                       14829
PEPSICO INC                  COM            713448108     17,176,925     241,012       X        28-12474                      241012
                                                              34,067         478       X        28-12474                         478
PFIZER INC                   COM            717081103     20,832,885   1,129,766       X        28-12474                     1129766
                                                               8,261         448       X        28-12474                         448
PHARMACEUTICAL PROD DEV INC  COM            717124101         23,983         580       X        28-12474                         580
PHILIP MORRIS INTL INC       COM            718172109      4,506,585      93,692       X        28-12474                       93692
                                                              25,734         535       X        28-12474                         535
POST PPTYS INC               COM            737464107         90,343       3,230       X        28-12474                        3230
POTASH CORP SASK INC         COM            73755L107      1,160,500       8,791       X        28-12474                        8791
                                                               7,261          55       X        28-12474                          55
PRAXAIR INC                  COM            74005P104      7,190,070     100,224       X        28-12474                      100224
                                                              16,715         233       X        28-12474                         233
PRECISION CASTPARTS CORP     COM            740189105         15,756         200       X        28-12474                         200
PRICE T ROWE GROUP INC       COM            74144T108        381,341       7,100       X        28-12474                        7100
PROCTER & GAMBLE CO          COM            742718109     28,648,583     411,086       X        28-12474                      411086
                                                              39,026         560       X        28-12474                         560
PROGRESS ENERGY INC          COM            743263105        388,429       9,006       X        28-12474                        9006
PROLOGIS                     SH BEN INT     743410102      1,151,227      27,895       X        28-12474                       27895
PUBLIC STORAGE               COM            74460D109      1,154,457      11,660       X        28-12474                       11660
QUALCOMM INC                 COM            747525103     13,290,707     309,302       X        28-12474                      309302
                                                              30,852         718       X        28-12474                         718
   COLUMN TOTAL                                           98,070,616







                                                                                                                    FILE NO. 28-1235
PAGE  244 OF  256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.          AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
QUESTAR CORP                 COM            748356102        151,445       3,701       X        28-12474                        3701
QWEST COMMUNICATIONS INTL IN COM            749121109             26           8       X        28-12474                           8
REALTY INCOME CORP           COM            756109104        650,496      25,410       X        28-12474                       25410
REDWOOD TR INC               COM            758075402        149,394       6,875       X        28-12474                        6875
REGAL ENTMT GROUP            CL A           758766109            947          60       X        28-12474                          60
REGENCY CTRS CORP            COM            758849103      1,024,358      15,360       X        28-12474                       15360
REYNOLDS AMERICAN INC        COM            761713106          3,890          80       X        28-12474                          80
ROCKWELL COLLINS INC         COM            774341101        757,898      15,760       X        28-12474                       15760
ROGERS COMMUNICATIONS INC    CL B           775109200        634,385      19,085       X        28-12474                       19085
ROSS STORES INC              COM            778296103     13,131,010     356,724       X        28-12474                      356724
                                                              25,767         700       X        28-12474                         700
ROYAL BK SCOTLAND GROUP PLC  SP ADR REP SHS 780097721             22           7       X        28-12474                           7
SL GREEN RLTY CORP           COM            78440X101      1,009,001      15,571       X        28-12474                       15571
SPX CORP                     COM            784635104      7,568,715      98,295       X        28-12474                       98295
                                                              15,015         195       X        28-12474                         195
ST JUDE MED INC              COM            790849103      7,423,091     170,685       X        28-12474                      170685
                                                              17,657         406       X        28-12474                         406
SANDISK CORP                 COM            80004C101      1,937,444      99,102       X        28-12474                       99102
SARA LEE CORP                COM            803111103        275,966      21,850       X        28-12474                       21850
SCANA CORP NEW               COM            80589M102            934          24       X        28-12474                          24
SCHLUMBERGER LTD             COM            806857108      8,349,383     106,920       X        28-12474                      106920
                                                              18,351         235       X        28-12474                         235
SCHWAB CHARLES CORP NEW      COM            808513105      2,051,478      78,903       X        28-12474                       78903
                                                              13,026         501       X        28-12474                         501
   COLUMN TOTAL                                           45,209,699







                                                                                                                    FILE NO. 28-1235
PAGE  245 OF  256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.          AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
SCRIPPS E W CO OHIO          CL A NEW       811054402          1,343         190       X        28-12474                         190
SCRIPPS NETWORKS INTERACT IN CL A COM       811065101          9,622         265       X        28-12474                         265
SENIOR HSG PPTYS TR          SH BEN INT     81721M109        555,001      23,290       X        28-12474                       23290
SIMON PPTY GROUP INC NEW     COM            828806109      2,863,925      29,525       X        28-12474                       29525
SMITH INTL INC               COM            832110100          1,173          20       X        28-12474                          20
SMUCKER J M CO               COM NEW        832696405        224,303       4,425       X        28-12474                        4425
SONIC CORP                   COM            835451105        655,431      44,985       X        28-12474                       44985
SONOCO PRODS CO              COM            835495102      1,922,374      64,770       X        28-12474                       64770
SOUTHERN CO                  COM            842587107     11,522,172     305,709       X        28-12474                      305709
                                                               9,008         239       X        28-12474                         239
SOVEREIGN BANCORP INC        COM            845905108            573         145       X        28-12474                         145
SOVRAN SELF STORAGE INC      COM            84610H108         25,026         560       X        28-12474                         560
SPRINT NEXTEL CORP           COM SER 1      852061100        677,643     111,089       X        28-12474                      111089
STAPLES INC                  COM            855030102          6,030         268       X        28-12474                         268
STARBUCKS CORP               COM            855244109      1,758,734     118,274       X        28-12474                      118274
STARWOOD HOTELS&RESORTS WRLD COM            85590A401        193,322       6,870       X        28-12474                        6870
STATE STR CORP               COM            857477103     10,917,320     191,936       X        28-12474                      191936
                                                               8,760         154       X        28-12474                         154
STMICROELECTRONICS N V       NY REGISTRY    861012102      2,852,792     280,235       X        28-12474                      280235
STRATEGIC HOTELS & RESORTS I COM            86272T106         78,029      10,335       X        28-12474                       10335
SUNSTONE HOTEL INVS INC NEW  COM            867892101        143,235      10,610       X        28-12474                       10610
SUNTRUST BKS INC             COM            867914103         37,657         837       X        28-12474                         837
SYMANTEC CORP                COM            871503108      1,309,667      66,888       X        28-12474                       66888
   COLUMN TOTAL                                           35,773,140







                                                                                                                    FILE NO. 28-1235
PAGE  246 OF  256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.          AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
SYSCO CORP                   COM            871829107        332,841      10,796       X        28-12474                       10796
TANGER FACTORY OUTLET CTRS I COM            875465106        278,067       6,350       X        28-12474                        6350
TARGET CORP                  COM            87612E106      1,127,561      22,988       X        28-12474                       22988
TAUBMAN CTRS INC             COM            876664103        434,250       8,685       X        28-12474                        8685
TELEFLEX INC                 COM            879369106      1,156,788      18,220       X        28-12474                       18220
TEMPUR PEDIC INTL INC        COM            88023U101      1,879,248     159,800       X        28-12474                      159800
TEXAS INSTRS INC             COM            882508104      1,736,684      80,776       X        28-12474                       80776
TEXTRON INC                  COM            883203101            644          22       X        28-12474                          22
3M CO                        COM            88579Y101         35,726         523       X        28-12474                         523
TIDEWATER INC                COM            886423102      6,866,301     124,030       X        28-12474                      124030
TIME WARNER INC              COM            887317105      1,806,702     137,811       X        28-12474                      137811
TOTAL S A                    SPONSORED ADR  89151E109      2,461,059      40,558       X        28-12474                       40558
TRAVELERS COMPANIES INC      COM            89417E109        365,442       8,085       X        28-12474                        8085
UDR INC                      COM            902653104        433,436      16,575       X        28-12474                       16575
UST INC                      COM            902911106            998          15       X        28-12474                          15
US BANCORP DEL               COM NEW        902973304        757,465      21,029       X        28-12474                       21029
UNILEVER PLC                 SPON ADR NEW   904767704      2,227,438      81,861       X        28-12474                       81861
UNION PAC CORP               COM            907818108     12,927,495     181,668       X        28-12474                      181668
                                                              27,752         390       X        28-12474                         390
U STORE IT TR                COM            91274F104        182,578      14,880       X        28-12474                       14880
UNITED STATES STL CORP NEW   COM            912909108      1,218,244      15,697       X        28-12474                       15697
                                                               7,761         100       X        28-12474                         100
   COLUMN TOTAL                                           36,264,480







                                                                                                                    FILE NO. 28-1235
PAGE  247 OF  256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.          AS OF 09/30/08

                                                                                    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 TECHNOLOGIES CORP     COM            913017109     13,129,657     218,609       X        28-12474                      218609
                                                              23,544         392       X        28-12474                         392
UNITEDHEALTH GROUP INC       COM            91324P102      3,072,444     121,010       X        28-12474                      121010
VALERO ENERGY CORP NEW       COM            91913Y100          1,970          65       X        28-12474                          65
VALSPAR CORP                 COM            920355104      2,543,289     114,100       X        28-12474                      114100
VANGUARD INTL EQUITY INDEX F EMR MKT ETF    922042858      1,288,312      37,170       X        28-12474                       37170
VANGUARD INTL EQUITY INDEX F PACIFIC ETF    922042866        696,493      13,464       X        28-12474                       13464
VANGUARD INTL EQUITY INDEX F EURPEAN ETF    922042874        880,605      16,500       X        28-12474                       16500
VARIAN MED SYS INC           COM            92220P105      2,517,433      44,065       X        28-12474                       44065
                                                              16,111         282       X        28-12474                         282
VENTAS INC                   COM            92276F100        636,530      12,880       X        28-12474                       12880
VANGUARD INDEX FDS           SML CP GRW ETF 922908595        626,780      10,575       X        28-12474                       10575
VERIZON COMMUNICATIONS INC   COM            92343V104      2,362,915      73,634       X        28-12474                       73634
VISA INC                     COM CL A       92826C839      1,421,056      23,148       X        28-12474                       23148
                                                               9,024         147       X        28-12474                         147
VODAFONE GROUP PLC NEW       SPONS ADR NEW  92857W209      1,932,579      87,447       X        28-12474                       87447
VORNADO RLTY TR              SH BEN INT     929042109      1,303,768      14,335       X        28-12474                       14335
WACHOVIA CORP NEW            COM            929903102      1,896,955     541,987       X        28-12474                      541987
WAL MART STORES INC          COM            931142103     20,486,572     342,070       X        28-12474                      342070
                                                              45,576         761       X        28-12474                         761
WALGREEN CO                  COM            931422109      5,790,015     187,016       X        28-12474                      187016
WASHINGTON MUT INC           COM            939322103            100       1,224       X        28-12474                        1224
WEINGARTEN RLTY INVS         SH BEN INT     948741103        242,913       6,810       X        28-12474                        6810
WELLPOINT INC                COM            94973V107          9,354         200       X        28-12474                         200
   COLUMN TOTAL                                           60,933,995







                                                                                                                    FILE NO. 28-1235
PAGE  248 OF  256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.          AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
WELLS FARGO & CO NEW         COM            949746101      4,230,382     112,720       X        28-12474                      112720
WESTERN DIGITAL CORP         COM            958102105      1,183,025      55,489       X        28-12474                       55489
                                                               7,505         352       X        28-12474                         352
WEYERHAEUSER CO              COM            962166104        121,160       2,000       X        28-12474                        2000
WHIRLPOOL CORP               COM            963320106        230,100       2,902       X        28-12474                        2902
WINDSTREAM CORP              COM            97381W104          2,888         264       X        28-12474                         264
WISDOMTREE TRUST             INTL SMCAP DIV 97717W760        604,595      13,195       X        28-12474                       13195
WORTHINGTON INDS INC         COM            981811102        133,265       8,920       X        28-12474                        8920
WYETH                        COM            983024100      8,469,160     229,268       X        28-12474                      229268
                                                               7,942         215       X        28-12474                         215
XTO ENERGY INC               COM            98385X106     14,933,153     321,005       X        28-12474                      321005
                                                              29,215         628       X        28-12474                         628
XCEL ENERGY INC              COM            98389B100        575,872      28,808       X        28-12474                       28808
YAHOO INC                    COM            984332106        447,568      25,871       X        28-12474                       25871
YUM BRANDS INC               COM            988498101      3,560,360     109,180       X        28-12474                      109180
                                                              12,816         393       X        28-12474                         393
ZIMMER HLDGS INC             COM            98956P102          6,456         100       X        28-12474                         100
   COLUMN TOTAL                                           34,555,462







                                                                                                                    FILE NO. 28-1235
PAGE  249 OF  256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.          AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
ACCENTURE LTD BERMUDA        CL A           G1150G111        110,884       2,918       X        28-12474     2918
LAZARD LTD                   SHS A          G54050102        206,103       4,820       X        28-12474     4820
NABORS INDUSTRIES LTD        SHS            G6359F103      1,841,812      73,909       X        28-12474    73909
TYCO INTL LTD BERMUDA        SHS            G9143X208        160,076       4,571       X        28-12474     4571
VISTAPRINT LIMITED           SHS            G93762204        139,570       4,250       X        28-12474     4250
FLEXTRONICS INTL LTD         ORD            Y2573F102      1,485,511     209,818       X        28-12474   209818
AMB PROPERTY CORP            COM            00163T109      1,537,256      33,935       X        28-12474    33935
AT&T INC                     COM            00206R102        148,758       5,328       X        28-12474     5328
ADOBE SYS INC                COM            00724F101        135,027       3,421       X        28-12474     3421
AKAMAI TECHNOLOGIES INC      COM            00971T101      1,632,977      93,634       X        28-12474    93634
ALCOA INC                    COM            013817101        200,285       8,870       X        28-12474     8870
ALEXANDRIA REAL ESTATE EQ IN COM            015271109      3,535,875      31,430       X        28-12474    31430
ALLEGHENY TECHNOLOGIES INC   COM            01741R102         91,605       3,100       X        28-12474     3100
AMAZON COM INC               COM            023135106         74,943       1,030       X        28-12474     1030
AMERICAN CAMPUS CMNTYS INC   COM            024835100      1,262,030      37,250       X        28-12474    37250
AMERICAN EXPRESS CO          COM            025816109      1,071,332      30,238       X        28-12474    30238
AMERICAN INTL GROUP INC      COM            026874107        903,229     271,240       X        28-12474   271240
AMERICAN TOWER CORP          CL A           029912201        205,173       5,704       X        28-12474     5704
AMGEN INC                    COM            031162100      1,093,532      18,450       X        28-12474    18450
ANNALY CAP MGMT INC          COM            035710409      1,597,591     118,780       X        28-12474   118780
APPLE INC                    COM            037833100        714,580       6,287       X        28-12474     6287
ATHENAHEALTH INC             COM            04685W103        105,033       3,157       X        28-12474     3157
   COLUMN TOTAL                                           18,253,182







                                                                                                                    FILE NO. 28-1235
PAGE  250  OF  256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.         AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
AVERY DENNISON CORP          COM            053611109        466,417      10,486       X        28-12474    10486
BJ SVCS CO                   COM            055482103        100,586       5,258       X        28-12474     5258
BP PLC                       SPONSORED ADR  055622104      3,094,084      61,672       X        28-12474    61672
BAKER HUGHES INC             COM            057224107        225,209       3,720       X        28-12474     3720
BANK OF AMERICA CORPORATION  COM            060505104      3,008,880      85,968       X        28-12474    85968
BEST BUY INC                 COM            086516101      2,186,100      58,296       X        28-12474    58296
BOSTON PROPERTIES INC        COM            101121101      4,233,432      45,200       X        28-12474    45200
BOSTON SCIENTIFIC CORP       COM            101137107      2,670,136     217,615       X        28-12474   217615
BRANDYWINE RLTY TR           SH BEN INT NEW 105368203        533,078      33,255       X        28-12474    33255
BRINKER INTL INC             COM            109641100        214,555      11,993       X        28-12474    11993
BROADCOM CORP                CL A           111320107        188,293      10,107       X        28-12474    10107
BROOKFIELD PPTYS CORP        COM            112900105      1,082,506      68,340       X        28-12474    68340
CBL & ASSOC PPTYS INC        COM            124830100      1,266,646      63,080       X        28-12474    63080
CAMDEN PPTY TR               SH BEN INT     133131102        847,034      18,470       X        28-12474    18470
CAPITAL ONE FINL CORP        COM            14040H105      4,785,483      93,833       X        28-12474    93833
CEPHALON INC                 COM            156708109        830,693      10,720       X        28-12474    10720
CIRCUIT CITY STORE INC       COM            172737108        177,173     233,122       X        28-12474   233122
CISCO SYS INC                COM            17275R102      4,391,372     194,653       X        28-12474   194653
CITIGROUP INC                COM            172967101      4,752,249     231,704       X        28-12474   231704
COGNIZANT TECHNOLOGY SOLUTIO CL A           192446102      1,142,185      50,030       X        28-12474    50030
COLDWATER CREEK INC          COM            193068103      1,114,534     192,493       X        28-12474   192493
COMCAST CORP NEW             CL A           20030N101      1,106,641      56,375       X        28-12474    56375
   COLUMN TOTAL                                           38,417,286







                                                                                                                    FILE NO. 28-1235
PAGE  251 OF  256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.          AS OF 09/30/08

                                                                                    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      1,769,061      24,151       X        28-12474    24151
CORPORATE OFFICE PPTYS TR    SH BEN INT     22002T108      2,570,699      63,710       X        28-12474    63710
COVENTRY HEALTH CARE INC     COM            222862104      2,787,257      85,630       X        28-12474    85630
DANAHER CORP DEL             COM            235851102      1,072,299      15,451       X        28-12474    15451
DELL INC                     COM            24702R101        359,149      21,793       X        28-12474    21793
DEVELOPERS DIVERSIFIED RLTY  COM            251591103      2,726,291      86,030       X        28-12474    86030
DIAMOND OFFSHORE DRILLING IN COM            25271C102        125,733       1,220       X        28-12474     1220
DIGITAL RLTY TR INC          COM            253868103      2,664,428      56,390       X        28-12474    56390
DIRECTV GROUP INC            COM            25459L106        767,519      29,317       X        28-12474    29317
DISH NETWORK CORP            CL A           25470M109        107,100       5,100       X        28-12474     5100
DOUGLAS EMMETT INC           COM            25960P109        596,013      25,835       X        28-12474    25835
DOVER CORP                   COM            260003108      1,817,532      44,822       X        28-12474    44822
E M C CORP MASS              COM            268648102      2,471,713     206,665       X        28-12474   206665
EASTGROUP PPTY INC           COM            277276101      1,193,113      24,580       X        28-12474    24580
EATON CORP                   COM            278058102      1,017,982      18,120       X        28-12474    18120
EBAY INC                     COM            278642103      1,673,241      74,765       X        28-12474    74765
ENTERTAINMENT PPTYS TR       COM SH BEN INT 29380T105      1,393,445      25,465       X        28-12474    25465
EQUITY RESIDENTIAL           SH BEN INT     29476L107      2,379,710      53,585       X        28-12474    53585
ESSEX PPTY TR INC            COM            297178105      1,720,518      14,540       X        28-12474    14540
EXXON MOBIL CORP             COM            30231G102      3,938,216      50,711       X        28-12474    50711
FEDERAL REALTY INVT TR       SH BEN INT NEW 313747206      2,176,808      25,430       X        28-12474    25430
FEDEX CORP                   COM            31428X106      2,128,152      26,925       X        28-12474    26925
   COLUMN TOTAL                                           37,455,979







                                                                                                                    FILE NO. 28-1235
PAGE  252 OF  256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.          AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
FELCOR LODGING TR INC        COM            31430F101        442,846      61,850       X        28-12474    61850
FIDELITY NATIONAL FINANCIAL  CL A           31620R105      1,227,597      83,510       X        28-12474    83510
FRANKLIN RES INC             COM            354613101      1,450,796      16,462       X        28-12474    16462
GENERAL ELECTRIC CO          COM            369604103      3,888,011     152,471       X        28-12474   152471
GENERAL GROWTH PPTYS INC     COM            370021107      2,028,157     134,315       X        28-12474   134315
GENZYME CORP                 COM            372917104      2,395,557      29,615       X        28-12474    29615
GILDAN ACTIVEWEAR INC        COM            375916103      2,827,021     124,101       X        28-12474   124101
GOODRICH CORP                COM            382388106        709,613      17,058       X        28-12474    17058
GOOGLE INC                   CL A           38259P508        864,517       2,140       X        28-12474     2140
GRAMERCY CAP CORP            COM            384871109        320,759     123,845       X        28-12474   123845
HCC INS HLDGS INC            COM            404132102        185,220       6,860       X        28-12474     6860
HCP INC                      COM            40414L109      2,793,650      69,615       X        28-12474    69615
HALLIBURTON CO               COM            406216101      1,469,178      45,359       X        28-12474    45359
HANSEN NAT CORP              COM            411310105      1,429,555      47,258       X        28-12474    47258
HARTFORD FINL SVCS GROUP INC COM            416515104        250,121       6,102       X        28-12474     6102
HEALTH MGMT ASSOC INC NEW    CL A           421933102        208,104      50,025       X        28-12474    50025
HERSHA HOSPITALITY TR        SH BEN INT A   427825104        502,274      67,510       X        28-12474    67510
HOLOGIC INC                  COM            436440101        117,565       6,082       X        28-12474     6082
HOME DEPOT INC               COM            437076102      2,641,427     102,025       X        28-12474   102025
HOST HOTELS & RESORTS INC    COM            44107P104      2,460,019     185,103       X        28-12474   185103
INTEL CORP                   COM            458140100      2,657,169     141,867       X        28-12474   141867
JPMORGAN & CHASE & CO        COM            46625H100      1,346,828      28,840       X        28-12474    28840
   COLUMN TOTAL                                           32,215,984







                                                                                                                    FILE NO. 28-1235
PAGE  253 OF  256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.          AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
JABIL CIRCUIT INC            COM            466313103      1,483,785     155,533       X        28-12474   155533
KIMCO REALTY CORP            COM            49446R109      4,506,680     122,000       X        28-12474   122000
KINETIC CONCEPTS INC         COM NEW        49460W208      2,490,761      87,120       X        28-12474    87120
KOHLS CORP                   COM            500255104      2,890,276      62,723       X        28-12474    62723
LASALLE HOTEL PPTYS          COM SH BEN INT 517942108        867,154      37,185       X        28-12474    37185
LILLY ELI & CO               COM            532457108        119,013       2,703       X        28-12474     2703
LOWES COS INC                COM            548661107        556,431      23,488       X        28-12474    23488
MACERICH CO                  COM            554382101      3,787,175      59,500       X        28-12474    59500
MACK CALI RLTY CORP          COM            554489104        796,284      23,510       X        28-12474    23510
MASCO CORP                   COM            574599106      1,423,449      79,345       X        28-12474    79345
MEDICAL PPTYS TRUST INC      COM            58463J304        798,768      70,376       X        28-12474    70376
MERRILL LYNCH & CO INC       COM            590188108      1,327,921      52,487       X        28-12474    52487
MICROSOFT CORP               COM            594918104      5,865,341     219,758       X        28-12474   219758
MICROCHIP TECHNOLOGY INC     COM            595017104        832,251      28,279       X        28-12474    28279
MID-AMER APT CMNTYS INC      COM            59522J103        566,830      11,535       X        28-12474    11535
MORGAN STANLEY               COM NEW        617446448      1,421,400      61,800       X        28-12474    61800
MOTOROLA INC                 COM            620076109        696,000      97,479       X        28-12474    97479
NALCO HOLDING COMPANY        COM            62985Q101        153,511       8,280       X        28-12474     8280
NATIONAL OILWELL VARCO INC   COM            637071101         75,345       1,500       X        28-12474     1500
NATIONWIDE HEALTH PPTYS INC  COM            638620104      1,047,198      29,105       X        28-12474    29105
NEWS CORP                    CL A           65248E104      2,700,891     225,262       X        28-12474   225262
NOVARTIS A G                 SPONSORED ADR  66987V109      1,899,439      35,947       X        28-12474    35947
   COLUMN TOTAL                                           36,305,903







                                                                                                                    FILE NO. 28-1235
PAGE  254 OF  256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.          AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
OMNICARE INC                 COM            681904108      2,617,897      90,994       X        28-12474    90994
OMEGA HEALTHCARE INVS INC    COM            681936100      1,536,527      78,155       X        28-12474    78155
ORACLE CORP                  COM            68389X105      1,329,330      65,452       X        28-12474    65452
OSHKOSH CORP                 COM            688239201      1,985,383     150,865       X        28-12474   150865
PNM RES INC                  COM            69349H107         70,472       6,882       X        28-12474     6882
PATTERSON UTI ENERGY INC     COM            703481101        168,689       8,426       X        28-12474     8426
PENNSYLVANIA RL ESTATE INVT  SH BEN INT     709102107        638,638      33,880       X        28-12474    33880
PEPSICO INC                  COM            713448108      1,630,871      22,883       X        28-12474    22883
PFIZER INC                   COM            717081103      2,920,693     158,389       X        28-12474   158389
PHARMACEUTICAL PROD DEV INC  COM            717124101        209,148       5,058       X        28-12474     5058
POST PPTYS INC               COM            737464107        329,766      11,790       X        28-12474    11790
PRECISION CASTPARTS CORP     COM            740189105        140,228       1,780       X        28-12474     1780
PROCTER & GAMBLE CO          COM            742718109      2,679,720      38,452       X        28-12474    38452
PROLOGIS                     SH BEN INT     743410102      3,999,476      96,910       X        28-12474    96910
PUBLIC STORAGE               COM            74460D109      4,198,519      42,405       X        28-12474    42405
QUALCOMM INC                 COM            747525103      1,079,363      25,119       X        28-12474    25119
REGENCY CTRS CORP            COM            758849103      3,757,982      56,350       X        28-12474    56350
ROCKWELL COLLINS INC         COM            774341101      1,041,822      21,664       X        28-12474    21664
ROGERS COMMUNICATIONS INC    CL B           775109200        801,416      24,110       X        28-12474    24110
ROPER INDS INC NEW           COM            776696106        182,842       3,210       X        28-12474     3210
SL GREEN RLTY CORP           COM            78440X101      3,476,261      53,646       X        28-12474    53646
SANDISK CORP                 COM            80004C101      1,048,506      53,632       X        28-12474    53632
   COLUMN TOTAL                                           35,843,549







                                                                                                                    FILE NO. 28-1235
PAGE  255 OF  256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.          AS OF 09/30/08

                                                                                    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
------------------------------------------------------------------------------------------------------------------------------------
                                                                                              
SCHLUMBERGER LTD             COM            806857108        244,422       3,130       X        28-12474     3130
SCHWAB CHARLES CORP NEW      COM            808513105        106,444       4,094       X        28-12474     4094
SIMON PPTY GROUP INC NEW     COM            828806109      8,586,925      88,525       X        28-12474    88525
SONIC CORP                   COM            835451105        648,074      44,480       X        28-12474    44480
SONOCO PRODS CO              COM            835495102      1,192,542      40,180       X        28-12474    40180
SPRINT NEXTEL CORP           COM SER 1      852061100         83,436      13,678       X        28-12474    13678
STARBUCKS CORP               COM            855244109      2,011,182     135,251       X        28-12474   135251
STARWOOD HOTELS&RESORTS WRLD COM            85590A401        704,907      25,050       X        28-12474    25050
STMICROELECTRONICS N V       NY REGISTRY    861012102      1,275,147     125,260       X        28-12474   125260
STRATEGIC HOTELS & RESORTS I COM            86272T106        288,637      38,230       X        28-12474    38230
SUNSTONE HOTEL INVS INC NEW  COM            867892101        525,960      38,960       X        28-12474    38960
SYMANTEC CORP                COM            871503108        714,807      36,507       X        28-12474    36507
TANGER FACTORY OUTLET CTRS I COM            875465106        832,010      19,000       X        28-12474    19000
TARGET CORP                  COM            87612E106      1,202,265      24,511       X        28-12474    24511
TAUBMAN CTRS INC             COM            876664103      1,568,750      31,375       X        28-12474    31375
TELEFLEX INC                 COM            879369106        156,185       2,460       X        28-12474     2460
TEMPUR PEDIC INTL INC        COM            88023U101        253,428      21,550       X        28-12474    21550
TEXAS INSTRS INC             COM            882508104      1,263,727      58,778       X        28-12474    58778
TIDEWATER INC                COM            886423102      3,346,512      60,450       X        28-12474    60450
TIME WARNER INC              COM            887317105        232,204      17,712       X        28-12474    17712
UDR INC                      COM            902653104      1,415,892      54,145       X        28-12474    54145
UNILEVER PLC                 SPON ADR NEW   904767704      1,411,818      51,886       X        28-12474    51886
   COLUMN TOTAL                                           28,065,274







                                                                                                                    FILE NO. 28-1235
PAGE  256 OF  256                  FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.          AS OF 09/30/08

                                                                                    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 STORE IT TR                COM            91274F104        656,936      53,540       X        28-12474    53540
UNITED TECHNOLOGIES CORP     COM            913017109        673,453      11,213       X        28-12474    11213
UNITEDHEALTH GROUP INC       COM            91324P102        413,349      16,280       X        28-12474    16280
VALSPAR CORP                 COM            920355104      1,455,314      65,290       X        28-12474    65290
VENTAS INC                   COM            92276F100      2,313,597      46,815       X        28-12474    46815
VERIZON COMMUNICATIONS INC   COM            92343V104        152,139       4,741       X        28-12474     4741
VODAFONE GROUP PLC NEW       SPONS ADR NEW  92857W209        262,791      11,891       X        28-12474    11891
VORNADO RLTY TR              SH BEN INT     929042109      4,580,242      50,360       X        28-12474    50360
WACHOVIA CORP NEW            COM            929903102        786,954     224,844       X        28-12474   224844
WALGREEN CO                  COM            931422109      3,476,251     112,282       X        28-12474   112282
WEINGARTEN RLTY INVS         SH BEN INT     948741103        869,100      24,365       X        28-12474    24365
YAHOO INC                    COM            984332106        492,721      28,481       X        28-12474    28481
   COLUMN TOTAL                                           16,132,847
      GRAND TOTAL                                     33,307,935,190







                                 FORM 13F   NAME OF REPORTING MANAGER-PNC FINANCIAL SERVICES GROUP, INC.            AS OF 09/30/08

         ENTITY TOTALS                                  FAIR MARKET                              ENTITY                     UNITS
----------------------------                          --------------                            --------                 -----------
                                                                                                                
                                                      22,519,231,715                            28-5284                  559,444,362
                                                         155,359,842                            28-11135                   4,990,699
                                                          42,688,287                            28-1500                    3,195,879
                                                         133,085,571                            28-11439                   1,314,855
                                                         558,337,129                            28-4580                   11,903,606
                                                       8,387,105,687                            28-4750                   43,121,366
                                                       1,510,902,563                            28-12474                  46,817,905
                                                           1,224,396                                                          41,296
GRAND TOTAL                                           33,307,935,190                                                     670,829,968
NUMBER OF ISSUES                                               3,265